Accounting & Accounts
- Adjusting the due date for manually reduced receivables
- Cross facility sales within one tenant
- How to create and use booking codes for products, rates, modules and flat fees to manage your accounting
- How to manage compensations
- How to setup a new configuration of accounting and booking rules, or edit and track changes
- New logic for processing bank transactions via a clearing account
- The Adyen Settlement Details Report
- The difference between canceling a claim or to write it off