When reconciling bank statements, a Statement Date must now be entered on the range screen. The Statement Date will then be written to the reconciled transactions. Future program releases will include modifications to various report range screens to include this field.
3/27/2026 NEW RDA PROGRAMS RELEASED
Release notes for release 4.1.15-47603: New federal 941 form and report changes for 2026 Added a balance sheet detail export (BALDET-ORDER-CSV) that will include the...
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