Version 5.5.2



General Release Information

The release 5.5.2 has been released on 22st of October 2021 and contains several bug fixes. Below you can find more information related to the bug fixes. We will update your Production account automatically and the Sandbox account can be updated from your (the customer's) end at any given time.


Bug Fixes


BR-1215 Incorrectly amount applied on auto-matching

The Bank Reconciliation SuiteApp can automatically match bank statement transactions lines with transactions in Netsuite. When working with a foreign currency transaction the system did correctly find the related to be reconciled transaction but didn’t apply the correct amount to reconcile with. This resulted in the situation that amounts had to be manually altered before reconciliation could take place. In this version, we have altered the calculation logic so that the amounts are correctly calculated and applied.

BR-1207 Single value matching cash refunds

The single value matching feature didn’t correctly match cash refunds and due to this, no matches were created during a matching run. In this version, we have optimized the search algorithm so that the single value matching is now also matching against cash refunds.

BR-1077 Reconciliation pop-up doesn’t show correct values

In the pop-up, the user sees the amounts from the bank statement transaction and from the Netsuite transactions. In certain scenarios, it can happen that the user is going to reconcile foreign currency transactions and in these situations, the pop-up didn’t always show the amount in the correct base currency what resulted in a situation where comparing amounts could be difficult. In this version, we have altered the logic so that amounts are correctly recalculated.