Shared Transactions 2023.1
SHARED TRANSACTIONS VERSION 2023.1 KEY UPDATES
- Multi-Transaction Support
- The following transactions are now all supported with this release
- Vendor Bill
 - Journal Entry
 - Expense Report
 - Vendor Credirt
 - Credit Card Charge
 - Credit Card Refund
 - Check
 - Invoices
 - All Netgain Custom Transaction Type (NetLease/NetAsset/NetLoan/NetLessor/etc.)
 
 - When populated, these fields will automate the creation of NetLessor Lease Payment records based that gradually increase by the uplift percentage
 
 - The following transactions are now all supported with this release
 - New Allocation Types
- Support for allocating directly to accounts as well as custom segments in addition to native classifications (subsidiary, department, class, location)
 
 - Allocation Sourcing
- Ability to copy specific transaction line columns from the originating transaction to the allocation transaction
 
 - Allocation Removal
- New button available to remove all allocations
- Click "Clear Allocation"
 - Click "Save"
 - The prior allocated transaction will be deleted
 
 - New button to remove all allocations for a specific line
- Select a transaction line
 - Click "Remove Line"
 - Click "Save"
 - The specific line allocation will be removed from the allocated transaction or if there are no allocations remaining, the allocated transaction will be deleted
 - Removal will not remove a body template or 1:1 line allocations
 
 
 - New button available to remove all allocations
 
