Posting gifts in NXT results in inconsistent transaction grouping

I haven't seen this discussed on here before so I'm wondering if it's just me or something I am doing to cause it. When using the post utility in NXT, the transactions in the journal entry are not organized as a typical JE should be with corresponding debit/credit entries together on back-to-back lines. Put simply, they are a mess and my linear mind can't handle it. There appears to be no rhyme or reason to the entry. It may have a group of 10 cash debit entries, followed by the contribution credit entries. Then it may throw in a random mix of debit/credit entries that don't match one another. Anyone else experience this? And is there a way to fix it?

Screenshot 2026-04-15 120919.jpg

Answers

  • Yeah, still a lot of bugs to be worked on for this. See here: link. There needs to be a better way to sort and filter within this view and in Financial Edge side as well.

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