Article Details
Id:11125
Product:finPOWER Connect
Type:NEW
Version:1.06.08
Opened:24/01/2013
Closed:01/05/2013
Released:28/05/2013
Job: J011032

Account Restructure; can now be completed if a Payment Due transaction exists on the same day as the Restructure

Previously an Account Restructure could not be processed if any non-reversed Transactions, excluding Payments Received, were dated on or after the Restructure date.

This has been relaxed, so a Restructure can occur if there is a Payment Due on the date of the Restructure.

This means Account Processes can be run first thing in the morning and include Payment Dues for today, and then allow Restructures for those Accounts with a Payment Due on that day.