RSS Feed
Australia's best motorcycle shop retail software
- Tweaks and fixes
- Purchase unit : system would let you enter in a trust receipt during purchase from someone else. Now disabled
- Some more non functional payroll tweaks in preparation of STP Phase 2
- CHE tweaks : tweaks /fixes to quarterly cycles. Options to disable PAYG and SuperG computation
- Payroll : Working Holiday Maker Tax Tables were wrong. Now updated
- Under some circumstances which I am not entirely sure how, sell new giftcard could abort on saving cycle if user retries to save it will write the giftcard in a way that makes it unusable. This version fixes the underlying bug.
- Print unit invoice : allow printing of invoices imported into c9 where we replaced a competitor system. V5 had a rule in it where it would only print if it could find a matching journal posting, which are never created with migrated data. Now relaxed that rule.
- access txn audit via more details in reconcile
- Some quality of life changes to bank rec
- View details screen : new button more details on audit shows complete list of all audited modifications
- New button 'View reference reconciliation'. When figuring out which txns are discordant, c9 figures out a previously saved reference reconciliation which logs subsequent changes potentially making that rec invalid. Potentially useful information when trying to hunt down reasons for discordant txns
- Shipping Label, Better segregate sender addr with a gap and a line. Like so:
- timesheet option to print highlighted mechanic only
- unit sale modification, highlight when base price of a unit has changed in an edit session to help pickup situations where dealers have wrong target price locked in
- unit deal, make it more obvious what parts are quoted and what are invoiced/ordered
- settle finance across multiple units where DOF doesn't evenly divide across the units. Make sure cents balance correctly using a more precise amortizer/quantizer.