Settings and activity
28 results found
-
566 votes
An error occurred while saving the comment Charlotte Rix supported this idea · -
17 votesCharlotte Rix supported this idea ·
-
22 votesCharlotte Rix supported this idea ·
-
286 votes
Hi everyone, thanks for the idea and support here. We appreciate all the valuable feedback and ideas shared regarding the ability to split batch payments when reconciling, and understand it currently takes extra steps to reconcile when a single invoice among a batch has been paid, or when there are multiple payments to the same entity for different invoices.
Being transparent, we don’t have direct plans for making this change within the foreseeable future but if anything changes in this space, we’ll update you on this idea!Charlotte Rix supported this idea · -
943 votes
Hi community, appreciate the want for more of an update from us on this highly voted idea. Since Kelly’s last message I am pleased to let you know that our product team has done some discovery work in this space. More specifically, exploring the different ways in which the problem could be solved in Xero, alongside understanding the technical challenges. The feedback you’ve shared has been really useful for our product team’s research 🙏
We recognise the importance of needing to know which bills are flagged, so people making payment can review whether a bill should be paid or not, to avoid inadvertent payment. Being able to improve this workflow is important to us and once we have solution concepts, we will be sure to reach out to this community for feedback.
Right now there are no specific time frames available as to when this might be worked on, but…
Charlotte Rix supported this idea · -
3 votes
Hi Charlotte, can you expand a little on your needs or use cases for your idea here?
A wage would generally be connected to an employee in payroll. Managing a loan is a little different and we have suggestion of how to do this in our help here, and when it comes to drawings and introducing cash to the business this would generally relate to a specific shareholder and would be recorded as Spend or receive monies, if you'd rather not specify the contact you may want to set up a generic contact that you could code these sort of transactions too.
An error occurred while saving the comment Charlotte Rix commentedI don't like the idea of setting up fake supplier accounts to post payments too.
Bank Accounts should not be set up for Inter-Company Loans. It is a loan, not a imaginary bank account. We should be able to follow through as directed through our studies by a simple Dr Bank Cr Loan
The Bank should also be able to correct via journals if required
It creates unnecessary work.Charlotte Rix shared this idea · -
46 votesCharlotte Rix supported this idea ·
-
9 votes
Hi team, the Payable Invoice reports will generally help you zone into your top repeating suppliers and better view activity.
As suggested, if multiple contacts of a similar nature are being created merge may also help you manage these in your contacts list.
It'd be good to understand if there are other needs that this idea would help you with here - please do share any detail.
Charlotte Rix supported this idea ·
Please can you action this soon as possible - at the moment allocating credit notes is not clear on remittance and it should be there 100%