Follow

What's New/Changed in v9.8

New Features - Client Area

Modifications - Client Area

Modifications - Updated pages

Modifications - Various


New Features - Client Area

Client Bank Account View

This is a new page to store details of client bank accounts. The bank feed will use this information to try and auto associate payments with outstanding transactions for the client.

Client DRS/ AR Transactions

A new refiner has been added to display Transfers. This will make it easier to track entries that have been transferred in and out of a client.

New buttons have been added to the Client DRS/AR Transactions for:

  • Client Refund (formerly named as Cheque Payment to Client).
  • Failed Payment (formerly named as Refer to Drawer Cheque).
  • DRS/AR Adjustment.
  • DRS Journal.

Bank Summary

A new Bank Summary page has been added to be the start page for all bank transactions. It displays a summary of activity for each bank in a selected period, with the ability to drill into a selected bank to view and process deposits, DD/SO and bank feeds.

Bank Feeds

A new Bank Feeds page has been added that lists all outstanding items form the imported bank feeds data. The page includes the option to Import the data from a CSV. The imported data will be matched where possible against the type of transaction, the client and the deposit details. Items can be posted or ignored.

Banking Administration

A new Banking Administration page has been added to bring together all of the banking administration functions – Bank Admin, Recurring Receipt Admin and Generation, Global Settings, DD Batch Admin and Bulk RFP Receipt Printing. This can be accessed from the Admin menu.

Bank Admin

The Bank Admin page is a new view within the Banking Administration page that shows lists of bank accounts refined by Active, Inactive and Client Monies. This page allows the creation and editing of bank accounts. Additional bank identifies have also been added to the bank account details that are held.

Recurring Receipt Admin

This is a new view within the Banking Administration page that provides a mechanism to access all active recurring receipts. An option is available to be able to quickly search for a client as well as options to create new recurring receipts or edit existing recurring receipts.

Global Settings

The Global Settings view has been added to the Banking Administration page. It holds system settings relating to deposits and banking.

Bank Feed Admin

The Bank Feed Admin page displays the list of bank feed templates allow new templates to be added and existing templates to be edited.


Modifications - Client Area

Client Pages Updates

The following pages within the Client menu have been updated to V9 styling:

  • Client Recurring Receipts
  • Receipt Transfer
  • Receipt Reallocation
  • Cheque Payment/ Client Refund
  • Refer to Drawer Cheque/ Failed Payment
  • DRS/AR Adjustment
  • DRS/AR Journal
  • Deposits
  • DD/SO Processing
  • Unposted Deposits
  • Unallocated Entries
  • RFP Receipts
  • DD Batches
  • Bulk RFP Receipts

Client Details

A checkbox has been added to the Client DRS/AR Collection tab to indicate whether the client’s bank details should be stored.

Additional email fields have been added to the Client DRS/ AR Collection tab for Bill delivery and Statement delivery.

A new drop down has been added to the WIP/Billing tab to set the client’s default RFP Receipt layout.

An Extras tab has been added to Client Details to provide access to the Client Direct Debit Mandate Details, Extended Details, Gain/Loss Details, Origination, Staffing and VAT 56B Exemption Details.

Client Direct Debit Mandate

A Back button has been added to the page.

A new drop down has been added to select an associated client bank account. If selected the bank details will be populated from the details held on the client bank account.

A new reference field has been added. This will allow up to 20 characters.

Cheque Payment to Client

This page has been renamed to Client Refund and is now accessed from the Client DRS/AR Transactions. The menu item has been removed.

Refer to Drawer Cheque

This page has been renamed to Failed Payment and is now accessed from the Client DRS/AR Transactions. The menu item has been removed.

DRS/AR Adjustments

This page is now accessed from the Client DRS/AR Transactions. The menu item has been removed.

A Save and Allocate option has been added to DRS/AR adjustments allowing the adjustment to be allocated at the time of creation.

DRS Journal

This page is now accessed from the Client DRS/AR Transactions. The menu item has been removed.

Bulk RFP Receipts

The Bulk RFP Receipt printing pages has been moved to become a refiner on the new Banking Administration page


Modifications - Updated pages

The following pages have been updated to V9 styling:

  • Main Portfolio Summary
  • Client Questionnaires, Billing questionnaires, Client Zero Bill Questionnaires and Job Questionnaires
  • Special Portfolios
  • WIP and DRS/ AR Provisions Portfolio
  • Credit Portfolio
  • Interest/ Finance Charge Portfolio
  • Organisation Summary Portfolio
  • Statement Portfolio
  • Client Service Budgets Portfolio
  • Staff Events
  • Client Events
  • Contact Events
  • Client Mail Merge
  • Questionnaires
  • Questions
  • Attributes
  • Attribute pages
  • Assurance Request Fields
  • Interest/ Finance Charge Generation
  • Statement Generation and Printing
  • Import Maintenance
  • Delete Client (now part of Bulk Client Admin)
  • Delete Contacts (now called Bulk Contact Admin)

Modifications - Various

Billing

An additional organisation billing setting has been added within Billing Administration to allow the re-dating of bills when they are confirmed as long as there are not any exchange rate or tax rate changes that would be affected.

An option to print billing guides by group has been added to the Billing Guides portfolio within the Main Portfolio Summary.

General

A feedback button has been added to the Help menu. This opens a dialog that allows the user to provide feedback about the page they are currently on, which is sent through to IRIS Practice Engine.

Changes have been made to grid pages to freeze the top row.

Global Job Management

An additional column has been added to display the total outstanding DRS/AR on the job.

Bulk Job Admin

It is now possible to select an Inactive staff member when choosing the staff member to be replaced.

A new action has been added to Clear Rollover settings.

An option has been added to be able to transfer jobs between services.

Leave/ PTO Requests

The duration of the request has been added to the bottom of the page.

Jobs

An additional column has been added to indicate that a note is attached to the job. The column will display the number of notes attached to the job.

Job Templates

The Tax Return Type has been added as a displayed field on both the templates and the jobs.

An option to change the Tax Details on a job template has been added. This can only be changed on templates that have not had jobs created against them.

An option to search for master tasks within a job template has been included.

The Task code has been added to the displayed information on a job template. Jurisdictions can also be edited against a job template.

Assurance

The Assurance label has been changed to Take On throughout the system.

A Duplicate check has been added to the Validation screens within Assurance.

A Copy Address option has been included on the Request Screens

The Job Complexity field has been added to the Jobs tab of a Request.

Prospects

Client Code has been added as a column to the Prospects and Opportunities pages.

Client Search Department and Client Group has been added as an available column.

Update Partners/Managers

Client Group has been added to the Update Partners/ Managers page in Admin.

Expense and Disbursement tables

A CreatedDate field has been added to the Expense allocation tables.

Timesheets

A Move option has been added to timesheets.

The calendar icon will set the focus to the calendar picker.

Security Administration

The Group List refiner has been changed to display the users full name.

Tooltips have been added to the Dashlet Permissions.

The top row within the Permissions refiner will freeze when scrolling down the page.

User Settings

Save and Clear options have been added to the Staff Settings page to allow a user to save or clear their preferences for dashboards and menus. If a user saves their preferences, these will be loaded in preference to any grade defaults that have been set. They are also persisted if the browser cache is cleared.

RFP Receipts

The ability to have more than one RFP Receipt layout has been added.

Rich Text Formatting has been added to RFP Receipts.

Staff Details

A tool tip has been added to the Staff tab within Staff Details to explain the different license types.

Deposits

The value of outstanding credits is displayed on the Deposit Entry page.

Bulk Statement Printing

The Bulk Statement printing page has been modified to provide options when generating the statements. A new drop down has been included to select to either - Include all O/S transactions, Only Include O/S transactions that are over the client’s credit terms or Include all O/S transactions if at least one item is over the client’s credit terms.

DD/SO Processing

Buk options have been added to Bulk Draft or Bulk Export direct debits.

Client DRS/AR Transactions

A View DRS/ AR Allocation option has been added to all allocated DRS/AR Transactions. This can be found on the action’s menu of allocated items.

Questionnaires

Functionality has been added to allow the addition of multiple questions in one go to a questionnaire when using the Existing Questions option.

Was this article helpful?
0 out of 0 found this helpful
Have more questions? Submit a request

0 Comments

Please sign in to leave a comment.
Powered by Zendesk