Skip to Main Content
ADD A NEW IDEA

Pinned ideas

View all
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 Increase Character Limit in AgilLink -Int'l Wires
The user sent out an international wire, and it was rejected by the vendor's bank because the full account name wasn't on the wire. The full name is over 34 characters, so it can't be added in AgilLink, so she had the bank initiate the wire transf...

AgilLink

Showing 153
Would make it much easier to balance the bank rec
almost 2 years ago in  0 Already exists
need to be able to write off AR for invoices that are partially paid, but won't be paid in full.
almost 2 years ago in  0 Already exists
I ran into an issue with the recap page in the cashflow report. The title of the first page reads “combined total for all bank accounts” whether I run the report for one account or several accounts. If I run a cashflow report and include the recap...
almost 2 years ago in  0 Already exists
I am trying to search for all AR invoices billed to client "25". When I do the search - it brings up EVERY client with a "25" in their client number. It's ludicrous to not have that functionality. Literally insane.
about 2 years ago in  1 Already exists
If a firm has a "Pay after Release" firm setting, when a transaction is being released, but it is locked, a pop up will come up to state that it has been excluded, as it was locked. The invoice will then go into the "To Pay" folder to be "paid" ag...
about 2 years ago in  0 Already exists
If a new account is setup in a clients chart and no journals are coded to the account, the user should be able to delete the account. If manage financial periods has been run the system blocks the deleting of the gl account saying underlying data ...
about 4 years ago in  0 Already exists
Can we please make it so we can use the same document ID for several entries in the Journal Upload feature? For instance, when making several entries to record investment account activity. Now we have to duplicate the statement image several times...
over 6 years ago in  0 Already exists
Why does it take 1 or 2 tries for the filtering to kick in? It always goes back to the main screen with all groups
about 2 years ago in  0 Already exists
No description provided
about 2 years ago in  0 Already exists
Right now, there is no way to make a payment or book a deposit to another cash account, it has to be run through an exchange/clearing account so 2 transactions have to be booked. If I am writing a check/sending an electronic payment from one bank ...
over 2 years ago in  0 Already exists