What's new in the latest build

As of 24th December 2013 version 2.0 is no longer available for purchase. This is a general discussion and self help section for version 2.0, for people to post stuff they have found useful.
BankTree Support
Site Admin
Posts: 78
Joined: Sat Jun 18, 2005 12:18 am

Post by BankTree Support » Sat Mar 21, 2009 10:32 pm

Latest Build 2.0.8.0 (22 March 2009)

Fixed manual entering of categories – now can not change type of pre-entered category enforcing good practice of unique category names.

Fix for Scheduled allocated item, delete button.

Fix for Scheduled transfer item for different currency transfer amount based on exchange rate.

Changed layout of Account screen – moved show cleared funds, show closed accounts, show reminders to View menu.

Changed layout of Account Transactions screen added Total Input and Output values, single cleared funds options under the View menu

Changed layout for Report screen using single cleared funds option under the View menu.

Added Reporting of Closed Accounts

Run the Install Manager to automatically update these changes.

BankTree Support
Site Admin
Posts: 78
Joined: Sat Jun 18, 2005 12:18 am

Post by BankTree Support » Sat Mar 28, 2009 11:26 pm

Latest Build 2.0.8.0 (28 March 2009)

Fixed closing of application when selecting Balance Account or Clear Funds.

Fix for Scheduled Items, allowing ability to change date of transaction, without adding a new scheduled instance.

Added ordering of all transactions to be by last added.

Saving of Date selection on Transaction screen.

Stock History - Allow updating manually, and entering more than one item per date, Checks for non zero values.

Run the Install Manager to automatically update these changes. Has to be run from the Help Menu -> Check for Updates as there is a data structure change required.

BankTree Support
Site Admin
Posts: 78
Joined: Sat Jun 18, 2005 12:18 am

Post by BankTree Support » Fri Apr 10, 2009 2:05 pm

Latest Build 2.0.8 (19 April 2009)

Speeded up adding automated schedules on start up.

Added Reconcile payments to multiple transactions edit dialogue.

Added ability to resize the reconcile account / clear funds screen.

Added Ability to create a folder when running the backup files function.

Amended OFX file import

Various other interface changes.

Go to the Help Menu -> Check for Updates, to get these changes.

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