Misc. entries on CR payments in NXT?

With cash receipts moving exclusively to NXT in the near future, does anyone know if there is (or will be) a way to add misc. entries to payments in NXT? We've noticed that on payments entered in database view with misc. entries, if you open those payments in NXT the credit side of the misc. entry does show, but the debit side does not. This causes the payment to appear to be out of balance if viewed in NXT, even though it is complete in database view. This is similar to AP invoices that are entered in database view with misc. entries, but that is supposed to be fixed soon if you believe the release notes.

Comments

  • Kevin Brazell
    Kevin Brazell Blackbaud Employee
    Tenth Anniversary Kudos 5 First Reply Name Dropper

    @Earl Richards
    Miscellaneous entries on the distribution tab are not supported in WebView at all. They outlined it here in this KB :

  • @Kevin Brazell
    Kevin - thank you for that reply, and while the solution presented is not ideal (or as simple as it was in the database version - isn't NXT supposed to make our lives easier?) it does provide a work around for new transactions. The next question then becomes, what happens to the existing transactions in FE that have misc. entries attached, once the database view goes away? The misc. entries are not transferring into NXT, so will those records be lost?