Changelog for Payment Management Docs
This article lists all relevant changes to Docs for Continia Payment Management, covering both new and updated articles.
Note
For more information about the changes in the Payment Management application, see the Detailed Changelogs for Continia Payment Management article.
September 2023
Article | Description |
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Bank Account Verification | New article that describes how to enable bank account verification to enhance the security of Payment Management processes. |
Nordea US | New article about how to connect with Nordea US. |
Setting up Payment Approval Workflows | Addition to the existing article to describe the All up to limit option. |
August 2023
Article | Description |
---|---|
NetsEasy | New article about the Payment Service Provider integration feature for NetsEasy and how to send payment data between NetsEasy and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from NetsEasy invoices. |
Onboarding ABN AMRO to use Direct Communication | Added section on how to prepare your ABN AMRO setup for direct communication. |
July 2023
Article | Description |
---|---|
Add dimensions to bank account reconciliation rules | Addition to Setting up Bank Account Reconciliation Rules article about the functionality to include dimensions on bank account reconciliation rules. |
June 2023
Article | Description |
---|---|
Worldline | New article about the Payment Service Provider integration feature for Worldline and how to send payment data between Worldline and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from Worldline invoices. |
Matching ledger entries with PSP payments | New article that describes how to enable the matching of ledger entries with payment lines imported from a Payment Service Provider. |
May 2023
Article | Description |
---|---|
Setting up G accounts | New article that describes how to set up the G account fields. |
April 2023
Article | Description |
---|---|
Creating an OCR reference for Bank Girot | New article that describes how you can set up the OCR type for Bankgirot. |
Adding detailed expense information to the payment journal | New article about how you can benefit from working with both Payment Management and Expense Management. |
March 2023
Article | Description |
---|---|
Using job queues to schedule tasks | New article about the default Payment Management default job queue codeunits available. |
Onboarding Rabobank to use Direct Communication | Added section on how to prepare your Rabobank setup for direct communication. |
Continia Notifications | New article about how Continia Notifications inform you about relevant updates via notifications directly in Business Central. |
February 2023
Article | Description |
---|---|
Adyen | New article about the Payment Service Provider integration feature for Adyen and how to send payment data between Adyen and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from Adyen invoices. |
Mollie | New article about the Payment Service Provider integration feature for Mollie and how to send payment data between Mollie and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from Mollie invoices. |
Using the Payment Management fields on the vendor card | New article that lists the Payment Management-specific fields on the vendor card. |
January 2023
Article | Description |
---|---|
Onboarding Rabobank to use Direct Communication | New article about how to set up direct communication for Rabobank using direct integration. |
Payment Service Providers | Overview article about how to use Continia Payment Management to establish integrated communication between Business Central and payment service providers. |
Adding a Payment Service Provider | New article about how to add an agreement for a preset Payment Service Provider. |
Importing Payment Service Provider payments | New article about how to import payments from payment service providers (PSPs) by using PSP agreements to set up the bank account and the rules for import. |
Amazon | New article about the Payment Service Provider integration feature for Amazon and how to send payment data between Amazon and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from Amazon invoices. |
bol.com | New article about the Payment Service Provider integration feature for bol.com and how to send payment data between Amazon and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from bol.com invoices. |
Klarna | New article about the Payment Service Provider integration feature for Klarna and how to send payment data between Amazon and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from Klarna invoices. |
PayPal | New article about the Payment Service Provider integration feature for PayPal and how to send payment data between Amazon and Microsoft Dynamics 365 Business Central. Includes the default rules that separate the fees and other charges from PayPal invoices. |
Sparebanken Sør | New article about Sparebanken Sør. |
Onboarding Sparebanken Sør with Direct Communication | New article about how to set up direct communication for Sparebanken Sør. |
Sparebanken Møre | New article about Sparebanken Møre. |
Onboarding Sparebanken Møre with Direct Communication | New article about how to set up direct communication for Sparebanken Møre. |
Bank Export Data | Added record type description. |
Starting Bank Account Reconciliation | New article about how to prepare for bank account reconciliation. |
Preparing your setup for Payment Management | New article with a checklist to help you prepare your setup to make working with Payment Management easier. |
December 2022
Article | Description |
---|---|
Setting up Direct Debit | Updated to list the requirements for using direct debit and added information about adding the mandate ID to the customer card to facilitate adding invoices automatically. |
Working with Direct Debit collections | Updated to describe how to export direct debit files and how to use reversal rules. |
Defining Tolerance for Reconciliation Suggestions | New article about how to set up a tolerance for reconciliation suggestions to widen the search for ledger entries, and improve matching and suggestion possibilities. |
November 2022
Article | Description |
---|---|
Automatic Payments | New article about how to post purchase documents for automatic payment methods directly to the vendor. |
Undoing a Bank Account Reconciliation | New article about how to undo a reconciliation posted from the bank account card. |
Reimbursing Customers and Paying Credit Memos | New article about how to directly suggest and validate reimbursement payments and credit memos in the payment journal. |
October 2022
Article | Description |
---|---|
Using Split Characters | New article about how to use the Split Characters field to split a string into chunks that Statement Intelligence can use for recognizing entries. |
Setting up Payment Approval | New article about the payment approval workflow feature. |
Creating Payment Approval Workflows | New article about how to add an approval workflow for payments. |
Editing Payment Approval Workflows | New article about how to edit an approval workflow for payments. |
Setting up Customer Statements | New article about adding a payment reference to the customer statement. |
Setting up Payment Management Mapping | New article about how to map the payment methods between Document Capture and Payment Management. |
Change in product name | 365 has been removed from the Payment Management product name. Documentation, App name, and other related materials have been updated accordingly. |
Assisted Setups for Payment Management | Updated to reflect the updates to the assisted setup guides: The Payment Approval Setup guide has been added and the Payment Management Setup and Payment Method Setup assisted guides have been removed. |
Quick Guide - Setting up Payment Management | Updated to reflect the updates to the assisted setup guides: The Payment Approval Setup guide has been added and the Payment Management Setup and Payment Method Setup assisted guides have been removed. |
September 2022
Article | Description |
---|---|
Bank integration overview | The articles under the bank integration section have been updated with clearer instructions on how to set up each bank with direct or manual communication, and links to detailed step-by-step procedures. |
Setting up Customer Statements | New article in the section Setting up Customer Payments of how to print customer statements with a payment reference, allowing customers to pay multiple invoices using a single payment reference. |
Business Functionality | Updated to include the Direct Debit module and the Payment Approval module. |
Setting up Payment Approval | New section with three articles about how to set up and edit Payment Approval, and manage the approval requests. |
Payment Management Permissions | Updated the article with the new CPM365 APPRADMIN permission set that users must have to set up and edit payment approval workflows. |
August
Article | Description |
---|---|
License and Granules for Payment Management | Updated to include the granule for Continia Payment Management Payment Approval and Direct Debit. |
Setting up validation of purchase journals | New article that describes the details of purchase journals validation, and how to set it up. |
June
Article | Description |
---|---|
Overview of Payment Journals | New article that gives you an overview of all the articles on Docs related to setting up and using Payment Management-enabled payment journals. |
Overview of Reconciling Bank Accounts | New overview article with information about all the articles on Docs related to bank account reconciliation. |
Defining Sender Reference | Updated the article to include that the default sender reference template code has been changed to be the first 16 digits of the transaction ID. |
Managing Cash Discounts | Updated the article with a note about a new check box Payment Discount Applied on the journal line, that will tell you if a payment discount has been applied to a payment. |
Managing the Import of Bank Account Statements | The procedure "To define import file format for account statements" has been removed because it is no longer required to define the import file format on the bank account card. |
Setting up Direct Debit Collections and Grouping Entries | New separate article that describes how to set up direct debit collections and how to group the direct debit collection entries. |
Setting up Direct Debit | Updated the article to include how to set up direct debit reversal rules. |
May
Article | Description |
---|---|
Payment Management Permissions | Updated the article with the new CPM365 BEXD ADMIN permission set. |
February
Article | Description |
---|---|
Setting up Direct Debit | New article about how to set up and use Payment Management Direct Debit. |
January
Article | Description |
---|---|
Sparebanken Vest | New bank card article for Sparebanken Vest with information with an overview of the supported bank communication types and file formats. |
Handelsbanken (Nettbedrift) | New bank card article for Handelsbanken (Nettbedrift) with an overview of the supported bank communication types and file formats. |
Onboarding Sparebanken Vest | New article that describes the process of setting up a Sparebanken Vest bank account to use Direct Communication. |
Onboarding Handelsbanken (Nettbedrift) | New article that describes the process of setting up a Handelsbanken (Nettbedrift) bank account to use Direct Communication. |