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v6.2.0
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[change-log]
[translations]
[fix] Account Currency and Balance fixed in chart of accounts #4019
[fix] Currency symbol fixed in Accounts receivable/payable report #4020
[fix] use the new split_emails method to split emails by comma
[fix] Dashboard info in accounting currency for Customer and Supplier #4017
[fix] Account Currency and Balance fixed in chart of accounts #4019
[fix] Currency symbol fixed in Accounts receivable/payable report #4020
[fix] set Payment Amount in Payment Tool
[fix] use the new split_emails method to split emails by comma
[Fixes] Warehouse check while company delete & Variant Attribute value check
[fix] ignore journal entry based invoice in payment tool and payment reconciliation tool
[fix] reload time log in update projects patch
[fix] don't fetch template item in get items of stock reconciliation
[fix] Use add_fetch in Product Bundle, Maintenance Visit and Maintenance Schedule instead of redundant get_item_details method
[fix] handle invalid date in get_retirement_date
[minor] [patch] reload activity cost in default_activity_rate
[minor] fixes in queries and payment tool
[fix] Use User Permission value as default only if the document type is Setup
[fix] changed modified for multi-currency sync
[minor] Change modified of Sales Invoice.json
minor fixes in multi-currency
Don't copy title field in Duplicate
[fix] Igonre permissions while saving Company and Warehouse from Accounts Settings
[minor] rename notified_modifed > notified_update. Merge with #1296
[fix] catch DuplicateEntryError in install_fixtures step of Setup Wizard
Don't copy title field in Duplicate
[fix] Journal Entry client side minor fixes
[fix] [patch] item template attributes
[fix] Bypass Root Not Editable validation from Setup Wizard
[fix] Igonre permissions while saving Company and Warehouse from Accounts Settings
[minor] fix title in readme
[minor] rename notified_modifed > notified_update. Merge with #1296
Multi-currency: Exchange Rate in Journal Entry
[fix] Map amount in advance payment entry agaionst SO/PO based on party account currency
Get average exchange rate in case of bank transfer
Multiple fixes
Set currency and exchange rate based on Customer's currency while making Quotation from Opportunity
[fix] Set account and party balance in Journal Entry
[report] Bank Reconciliation Statement in account currency
Removed account and party balance in company currency from Journal Entry
Patch fixed
Test cases for multi currency
[multi currency] Introduced Accounting Currency in Customer and Supplier, and validation according to that
Payment Tool changes due to multi currency
[report] Accounts Receivable / Payable in multi currency
[report] General Ledger in multi currency
[fix] Patch fixed for account_currency field rename
Multi currency: test case and fixes
minor fix
[new fields] Exchange Rate in Journal Entry and some properties changes in Journal Entry Account
[new fields] Party Account Currency, Paid Amount and Write Off Amount in Acompany Currency
Checked out json files from upstream
[patch] Multi currency
Outstanding, paid and write-off amount in Invoice
GL Entries for Sales/Purchase Invoice in multi currency
Validate currency in transactions
Multi currency GL entry fixes
Multi currency patch initialized
Currency input from Chart of Accounts page
GL Entry in account currency
Journal Entry: client side triggers
Journal Entry: validate and post gle in multi currency
Toggle alternative currency fields
Currency validation in gl entry
[enhancement] multi-currency, added fields #1002
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