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PINNED Desired Check Date for CNS Transfers
Submitting idea on behalf of Grant, Tani, Barash & Altman, Inc. For transfers to and from a City National Securities money fund, users should be able to use a desired check date for book transfers. Current AgilLink functionality seems to precl...
PINNED AR Reporting: New Functionality
would like an AR Report with functionality to gather monthly retainer information on one sheet, including name, billing information and amount.

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Showing 1837 of 1837
When booking a transfer between two CNB accounts using the ‘Transfer’ function ~ and associating a document to the transfer ~ the deposits & payments entries which are generated do not have any documents associated with them. I would like the ...
over 6 years ago in  1 Potential for future consideration
would allow faster processing of multiple transactions from the same account without having to wait for Agillink to reset after each submission
over 6 years ago in  0 Potential for future consideration
Bank status on transactions rejected by EASI may descriptions/status longer than 128 characters. . The existing character limit of 128 causes long statuses to be truncated.
over 6 years ago in  1 Already exists
need a report summarizing by roll up accounts
over 6 years ago in  0 Potential for future consideration
If a vendor invoice is dated in a closed period, user can't submit without re-opening books. The date of the invoice is irrelevant as far as payment is concerned (just searching) so there is no point in checking it against the date a client's book...
over 6 years ago in  1 Removed
Since the transfer methods have been updated to move away from the idea of "Book Transfers" vs "AP Book Transfers", the "Book" entitlement should be renamed to better indicate its function (i.e. "EFT"). There are already entitlements for ACH Debi...
over 6 years ago in  0 Removed
Client would like to be able to restrict user from gaining access to a specific bank account for a client. For example, John Smith (client) is in Group A and has 4 bank accounts but the admin would like to give their user access to view 3 out of 4...
over 6 years ago in  0 Under Consideration
The Reconciliation Report current displays two different formats for negative numbers. Negative amounts in the "UnBooked Adjustments" section of the report are displayed wrapped in parenthesis. However, the amounts in the Outstanding Payments sect...
over 6 years ago in  0 Removed
We get all of checks that include meal penalties, but they are not commissionable. When you do a commission template there is no way to exclude the meal penalties from the gross, so any commisionable checks that include meal penalties i have to do...
over 6 years ago in  0 Potential for future consideration
Example: Searching the same vendor (invoice or deposit), but in all entities belonging to the same group
over 6 years ago in  1 Already exists