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Release 1.2.67-70 - April 5

Release 1.2.70

Enhancement/Change:

  • Deposit Slip: now shows file and client information
  • Balancing Engine: optimized and extra checks to prevent summary number from going out of sync from backing data. Should now be faster and safer
  • Time/Expense: casefile balances pre-loaded to speed up validation
  • Grids: highlighted rows made darker. Selected cell changed to blue
  • Reports: highlighted rows made darker for improved contrast
  • PDF engine package update from provider
  • UI tweaks with grids: row height increased, focus and grid row colors changed for improved contrast, and disabled cells' background and text changed for improved visibility
  • Invoicing: added protection against multiple requests against the same casefile issues

Fixed:

  • Performance issue recalculating casefile balances
  • Electronic invoices now showing notifications
  • Money Exchange Method on deposit screen display issue
  • First time printing a check for an account will no longer produce an error
  • Bank Reconciliation: now supports non-number reference fields
  • Transfer checks on reports had "form available" but when clicked wouldn't open the check
  • Names on checks and receipts were accidentally changed to "Last, First" when contact specified
  • Tax adjustments not factored correctly into casefiles balances
  • After conversions, new contact screen may not be accessible (data dependent)
  • Time entries will now be saved with proper hour-rounding
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Release 1.2.70

Enhancement/Change:

  • Deposit Slip: now shows file and client information
  • Balancing Engine: optimized and extra checks to prevent summary number from going out of sync from backing data. Should now be faster and safer
  • Time/Expense: casefile balances pre-loaded to speed up validation
  • Grids: highlighted rows made darker. Selected cell changed to blue
  • Reports: highlighted rows made darker for improved contrast
  • PDF engine package update from provider
  • UI tweaks with grids: row height increased, focus and grid row colors changed for improved contrast, and disabled cells' background and text changed for improved visibility
  • Invoicing: added protection against multiple requests against the same casefile issues

Fixed:

  • Performance issue recalculating casefile balances
  • Electronic invoices now showing notifications
  • Money Exchange Method on deposit screen display issue
  • First time printing a check for an account will no longer produce an error
  • Bank Reconciliation: now supports non-number reference fields
  • Transfer checks on reports had "form available" but when clicked wouldn't open the check
  • Names on checks and receipts were accidentally changed to "Last, First" when contact specified
  • Tax adjustments not factored correctly into casefiles balances
  • After conversions, new contact screen may not be accessible (data dependent)
  • Time entries will now be saved with proper hour-rounding

Product release notes: April 5th, 2019

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