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The new trial balance snapshot functionality in 10.0.39 is very helpful. Can it be updated to allow for the set up of multiple ledgers (legal entities) in one go? Where a customer has many legal entities, it can be cumbersome to set up. This could be solved by allowing wild cards to be entered in "Ledger" or allowing the user to update the Ledger field in the "Open In Excel" functionality.
I have another request for an additional field (Closing Balance) in the report created by the snapshot, which I will submit as a separate idea.
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New
