Deposit to eWallet of Commercial Partner
Configure carry-forward rules to automate the balance carry-forward of accounting accounts
Account Reconciliation Widget and Functions for bank statement reconciliation and journal items reconciliation
Import bank statements in CSV and XLSX
Payment Acquirer: Webpay Implementation
Statement Balance
Prevent Spesifice users to reset to draft Inovices & Bills & Journal Entries & Payments
Generate CSV report for sold product quantities
Shows reversed word on ribbon on paid and refunded invoice
Add 'code' field to taxes
Counterpart relations between Journal Items
Base module for Accounting customization
Excluded in Legal Reports filtering for accounting journal entries and journal items
Allows the option of issuing e-invoices VN-Invoice in a detailed or aggregated form
Banco CTT Excel Import
Banco Novo Banco Import