We've made some improvements to your software. Today's changes include an improvement to the Reconciliation report for facilities that use cash-based accounting and a repair to a required field at move-in.
We've updated the Reconciliation report to use external account codes. The Revenue and Liabilities by Account table and the Revenue and Liabilities Breakdown table now include both the external account codes and descriptions, if you've chosen to use them.
We've repaired the issue that allowed users to move a tenant in without lien holder information when facility settings are defined to require lien holder information.