Feb 2018 ProntoPayments Minor Release
Version Number: 1.311
This release brings the beta version of a brand new feature - Bank Deposit Slips for Reconciliation Batches.
Once you have compiled your end of day Reconciliation batch of Opportunities, with Cash, Cheque or Bank Account payment types, you can now print a PDF report that lists all the transactions, and the relevant details to deposit the money to the bank.
In short, this new feature means you don't need to manually fill in deposit slips - a lifesaver if you're dealing with large volumes of transactions on a regular basis.
For more information, please see the below support article.
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