5. Bank Statement CODA & CAMT import Improvements
Bank Statement Report
Bank reconciliation Widget : split payment for partial allocation
launch reconciliation from partner reports
Reconciliation Model: Automatic fees detection based on notes EPC QR code on supplier payment
Reconciliation improvements
6. Bank Statement CODA & CAMT import Improvements
Bank Statement Report
Brand new asset reportBank reconciliation Widget : split payment for partial allocation
launch reconciliation from partner reports
Reconciliation Model: Automatic fees detection based on notes EPC QR code on supplier payment
ASSET: Sell or Dispose journal entry
Reconciliation improvements
ASSET Refactoring
Create assets based upon
accounts
Manage revaluations linked to assets
7. Bank Statement CODA & CAMT import Improvements
Bank Statement Report
Brand new asset report
Easy Tax Amount Edition for vendor bills
Bank reconciliation Widget : split payment for partial allocation
launch reconciliation from partner reports
Reconciliation Model: Automatic fees detection based on notes
Warning for Partner VAT duplicates
EPC QR code on supplier payment
ASSET: Sell or Dispose journal entry
Reconciliation improvements
ASSET Refactoring
Periodical TAX Closing Followup
Easy TAX Configuration
Lock date, periods, closing improvements
Calculate immediately in fields
Create assets based upon
accounts
Manage revaluations linked to assets
8. Hierarchy in list views
Export every list in Excel super fast
Bank Statement CODA & CAMT import Improvements
Bank Statement Report
Brand new asset report
Add the chatter to all journal entries
Easy Tax Amount Edition for vendor bills
Bank reconciliation Widget : split payment for partial allocation
Push changes in bulk in list view
Sortable column for all reports
Calculate immediately in fields
Export and save all reports in Documents
launch reconciliation from partner reports
Reconciliation Model: Automatic fees detection based on notes
Warning for Partner VAT duplicates
EPC QR code on supplier payment
ASSET: Sell or Dispose journal entry
Reconciliation improvements
ASSET Refactoring
Periodical VAT Closing Followup
Easy TAX Configuration
Suspense account management / account move "To check"
Change moves in one click
Lock date, periods, closing improvements
Create assets based upon
accounts
Manage revaluations linked to assets
9. Winbooks easy import
Consolidation & Ventilation
Hierarchy in list views
Export every list in Excel super fast
Bank Statement CODA & CAMT import Improvements
Bank Statement Report
Brand new asset report
Add the chatter to all journal entries
Easy Tax Amount Edition for vendor bills
Bank reconciliation Widget : split payment for partial allocation
Lock date, periods, closing improvements
Push changes in bulk in list view
Sortable column for all reports
Calculate immediately in fields
Export and save all reports in Documents
launch reconciliation from partner reports
Reconciliation Model: Automatic fees detection based on notes
Off-Balance sheet accounts
Journal groups: exclude selected journals instead of including them.
Warning for Partner VAT duplicates
EPC QR code on supplier payment
ASSET: Sell or Dispose journal entry
Reconciliation improvements
ASSET Refactoring
Periodical VAT Closing Followup
Easy TAX Configuration
Suspense account management / account move "To check"
Deferred expensesAccrual Accounting
Change moves in one click
General accounting improvements
Create assets based upon
accounts
Upload + OCR Customer Invoices
Manage revaluations linked to assets
10. Winbooks easy import
Consolidation & Ventilation
Hierarchy in list views
Export every list in Excel super fast
Bank Statement CODA & CAMT import Improvements
Bank Statement Report
Brand new asset report
Add the chatter to all journal entries
Easy Tax Amount Edition for vendor bills
Bank reconciliation Widget : split payment for partial allocation
Lock date, periods, closing improvements
Upload + OCR Customer Invoices Push changes in bulk in list view
Sortable column for all reports
Calculate immediately in fields
Export and save all reports in Documents
launch reconciliation from partner reports
Reconciliation Model: Automatic fees detection based on notes
Off-Balance sheet accounts
Journal groups: exclude selected journals instead of including them.
Warning for Partner VAT duplicates
EPC QR code on supplier payment
ASSET: Sell or Dispose journal entry
Reconciliation improvements
ASSET Refactoring
Periodical VAT Closing Followup
Easy TAX Configuration
Suspense account management / account move "To check"
Deferred expensesAccrual Accounting
Change moves in one click
General accounting improvements
Accounting
Refactoring
Create assets based upon
accounts
Manage revaluations linked to assets
11. Accounting Refactoring.
Odoo accounting…
… Completely refactored.
● 1 new model for invoices / bills and journal entries
○ Modify an invoice easily and keep (data) consistency
● View and modify your entries from the invoice as from the creation
● Easy tax configuration
● Edit your entries from brand new views
● New journals and previews on the entries
● Augmented performance