General Release Information
Version 5.12.0.1 has been released on 6th of August 2025 and contains a couple of bug fixes. Below you can find more information related to the bug fixes. We will update your Production account automatically and the Sandbox account can be updated from your (the customer's) end at any given time.
Bug fixes
BR-2575 BANK BALANCE NETSUITE field not updated in 5.11.0.
This version release introduces a fix for an issue where the BANK BALANCE NETSUITE field in bank statements was not updating after users saved changes, despite the correct balances being reflected in the Reconciliation report. This caused discrepancies between the statement view and actual NetSuite balances. This release ensures that saving a bank statement correctly refreshes the BANK BALANCE NETSUITE field to match the NetSuite report values.
BR-2553 BANK END BALANCE field doesn't get updated upon saving in 5.11.0.
Users reported an issue where the BANK END BALANCE field was not updating upon saving a newly imported bank statement, unless a line was manually reconciled. The system now correctly calculates and updates the BANK END BALANCE immediately after the statement is saved, based on the BANK START BALANCE and all debits and credits—even if no lines are reconciled.
BR-2542 5.11.0 > Total Line Automation > Bank End Balance is not Temporarily Calculated
Previous version release introduced an issue where the Bank End Balance was not immediately calculated when importing a bank statement with a Total Row (via BS UE Add Total Row.js). As a result, the Bank End Balance was only updated after reconciling a line, causing discrepancies and potentially incorrect Bank Start Balance in subsequent statements.
The logic now correctly ensures that when a Total Line is present, Bank Start Balance and Bank End Balance are equal upon import—restoring expected behavior from version 5.10.5.