Update Info
Release [ 2009-04-30 ] provided the following program changes ...
IN GENERAL: None.
ACCOUNTING CHANGES: Added - A new Security Deposit Interest Refund feature to the Tenant Reports menu that automatically calculates one year's worth of interest for tenants based on Move-In Anniversary months .. Added - The ability to create and generate custom forms from the Security Deposit Refund feature .. Added - The ability to generate custom Balance Sheet layouts .. Added - The ability to generate custom Trial Balance layouts .. Revised - The Vendor Accounts feature to make Vendor location and selection easier .. Added - Insured By ,Insurances Expiration, and Comment fields to the Vendor Accounts database .. Revised - The A/J entry process to duplicate the description field of the previous entry line when creating a new entry line .. Revised - The A/J entry Chart of Account Selection window to simplify COA selection by simply typing in the first few numbers and pressing enter to select .. Revised - The A/J entry window to display the full description of the Chart of Account selected when manually entering the COA Number .. Revised - The A/P entry process to duplicate the description field of the previous entry line when creating a new entry line .. Revised - The A/P entry Chart of Account Selection window to simplify COA selection by simply typing in the first few numbers and pressing enter to select .. Revised - The A/P entry window to display the full description of the Chart of Account selected when manually entering the COA Number .. Fixed - The Security Deposit Refund process so that the tenant's forwarding address is used on the tenant's refund check.
RD SPECIFIC CHANGES: None.
HUD SPECIFIC CHANGES: Fixed - The adjustment calculation issue for Unit Transfers .. Updated - All HUD form expiration dates to 04/30/2009 .. Revised - All HUD Model Leases to show lease expiration dates as the last day of lease term instead of the day after the lease termination date.
LIHTC SPECIFIC CHANGES: None.