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View Patch #60.001.046
Description
Patch ID:
Date Implemented:
Patch Title:
Patch Type:
Request IDs:
Bug
Enhancement
Other
03661 -
Bank Recon transaction type problem
Symptoms:
When setting up bank transaction types in the bank reconciliation program, it allows you to duplicate the bank transaction type for a bank account. As a result, if you use the same code twice, it duplicates the adjustment entry that it is associated with. The suggested solution is to NOT allow duplicate transaction types by bank account.
Solution:
Added check for duplicate transaction types.
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