Accounting

The following items have been either resolved (D#) or added to (F#) Nexsure. Click the Video icon to view the instructional video that details the changes to Nexsure.

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Item # Category Subtopic Description of Change Video
F3054, F3056 Accounting  

Add a check box to bank account set up, for MICR checks only, to add the 2nd signature line. Add memo line in bank account set up to reference 2nd signature line requirements.

F2788, F2794, F2801, F2802, F3219 & F3209 - F3211 Accounting   A 1099 check box has been added to the general ledger line items for disbursements, receive payments, accounts payable and reconciliation. A 1099 check box has also been added to the display and edit at org association for vendors.
F2948 Accounting Direct Bill Reconciliation An improved process allows the user to create and post invoices quickly from a carrier's direct bill commission statement, through reconciliation, without having to access individual clients.
F2958     Added internal note to be displayed on the transaction summary screens when the pointer is paused on a transaction.