Search found 78 matches
- Mon Jun 20, 2011 9:15 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Latest Build 2.11.4 (25th June 2011)
- Replies: 0
- Views: 271433
Latest Build 2.11.4 (25th June 2011)
Allocated Items Interface changes New Un-Reconciled transaction view - under the view menu Report fix for allocated items not showing for cleared and reconciled items For all reports CSV file import fix for skipping first line and date formats Include group by separator for amounts Future forecastin...
- Sat May 15, 2010 4:15 am
- Forum: BankTree Personal Finance 2.0 software
- Topic: Latest Build 2.10.6 (20 June 2010)
- Replies: 0
- Views: 128744
Latest Build 2.10.6 (20 June 2010)
Supports Multiple data files Supports Archive files Automated Backups More user control over schedule items Simplified Categories making them easier to use Add Attachments to transactions Improved CSV file import Add Keywords for Transactions Full Windows Xp, Windows Vista, and Windows 7 User Interf...
- Thu Aug 13, 2009 6:13 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Reports - balance figure
- Replies: 3
- Views: 71719
- Mon Aug 10, 2009 10:01 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Reports - balance figure
- Replies: 3
- Views: 71719
If the opeing balance is 515.94 the final balance will be the sum of all credits and debits + 515.94 (This is correct) If you do not see the opeing balance in the running balance figure it may be because you are viewing transactions for a given date range, you would then see the transactions within ...
- Wed Aug 05, 2009 10:59 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Account Opening Balances
- Replies: 1
- Views: 57838
- Tue Jul 07, 2009 11:32 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Balance Account
- Replies: 1
- Views: 56105
Balance Account dialogue the "show reconciled" box checked will show all entries that HAVE been reconciled. Until you check all the items, and hit the Apply button this will not get processed. When you first run this the default option is to show entries to be reconciled "show reconciled box u-check...
- Sat May 16, 2009 3:16 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Saving files and reports
- Replies: 1
- Views: 56162
- Fri Apr 10, 2009 2:05 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: What's new in the latest build
- Replies: 17
- Views: 297728
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 ...
- Sat Apr 04, 2009 12:02 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Schedule items added before Update 2.0.8 (28 Mar 2009)
- Replies: 0
- Views: 127311
Schedule items added before Update 2.0.8 (28 Mar 2009)
To deal with Scheduled items that have been added to you account transactions: If they have been added with the option 'Automatically Add to Account when due' 1) Go to your Account transactions and clear the 'Set' check box so all transactions are shown. 2) Go through your account transactions and d...
- Sat Mar 28, 2009 11:26 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: What's new in the latest build
- Replies: 17
- Views: 297728
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 se...
- Sat Mar 21, 2009 10:32 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: What's new in the latest build
- Replies: 17
- Views: 297728
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 o...
- Mon Mar 16, 2009 11:00 pm
- Forum: Installation Issues for 2.0
- Topic: Transfer to new computer
- Replies: 4
- Views: 114699
- Sun Mar 15, 2009 5:20 am
- Forum: BankTree Personal Finance 2.0 software
- Topic: What's new in the latest build
- Replies: 17
- Views: 297728
Latest Build 2.0.8.0 (16 March 2009) Fixed backup / restore functions when transferring between systems – Incorrect password error. Investment downloads shows correct message if the symbol is incorrect and continues processing remaining investments. Fix for QIF and OFX import where no Payee has been...
- Sun Mar 08, 2009 12:26 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: BankTree Personal Finance Automated Backup
- Replies: 2
- Views: 65657
- Sun Mar 08, 2009 12:25 pm
- Forum: BankTree Personal Finance 2.0 software
- Topic: Schedules
- Replies: 5
- Views: 88531
Thanks for your input, we will consider these in the next updates. If you have specific problems using the software please contact support directly.
** Updated this is now available in the latest update 15 March 2009 **
http://www.banktree.co.uk/forums/viewtopic.php?t=13
** Updated this is now available in the latest update 15 March 2009 **
http://www.banktree.co.uk/forums/viewtopic.php?t=13