Release Notes v3.14.0 - POS and Back Office
Release Date: 13 September 2021
In this update, we've added some exciting new features to Payment Types and Cash Up/End of Day, as well as released 8 resolutions.
This update will be rolled out to all customers between the 13th - 21st September.
- We've updated Payment Types to added the ability to Auto-Reconcile Payments during the Cash Up process. The amount expected will be automatically populated in the "Amount Reconciled" field in Step 3 of the Cash Up. Cash is not eligible to be auto-reconciled.
- The Cash Up Float Amount has been added to the End of Day Report (both the results tab and the detailed EOD Banking Details)
Suppliers can no longer be deleted when they are linked to Products or Purchase Orders- Improved the performance of Stock Receipts to allow for receiving of a Purchase Order with a large number of products
- Products on the Fulfilment Report can now be updated by scanning the barcode into the PLU Scan field if the product is not on the first page of the results
- Performance improvements to the Purchase Order Product Search functionality to return results faster when containing products grouped by Manufacturer SKU
Purchase Orders emails now display Barcodes in the PDF attachment- Formatting improved for A4 Product Labels with multiple pages
- Resolved an issue with step 3 of the Stock Replenishment results where historical Purchase Orders were displayed incorrectly as having been created as part of the Replenishment process
- Performance improvements with the Inventory Planning Export to improve the speed
- We've added new Payment Type options. These are non-integrated methods used to allocate to your Payments (and can be used for mapping Payments in eCommerce integrations)
- Stripe
- Bad Debt
- The Iconic
- David Jones
- David Jones Concession
- Qoin
- Refund - Surcharge
- Ebay
- PinPay
- Adyen
- Amazon
- Kogan
- Catch