
General Ledger Report Journal Entry descriptions and memos print
Beginning Balances are calculated correctly and Transaction splits are no longer combined in a single account

Journal Entry Numbers are now properly incrementing.

Bank Reconciliations: The Opening Balance is now calculated properly and
and When you Leave the Bank Reconciliation your work is saved.

Transaction Screens: The tabbing sequence in all transaction entry screens has been adjusted
and If a transaction is not fully distributed, the screen does not close.

Pay Bills is now displaying the correct Due Date.

Journal Printing: All source journals now segregate the activity by control account.
and Source journals are now sorted by date.