Credit Card Import is a managed bundle and is Built for NetSuite (BFN) verified by Netsuite. All releases undergo an extensive testing cycle before being released to Production accounts. New releases are announced upfront by email to the contact person(s) registered for new functionality which is noted when the first two places in the version number change (e.g. from version 1.4.x to 1.5.0). Patches and bug fix updates are not announced upfront and are noted when the last place in the version number is updated (e.g. from version 1.4.0 to 1.4.1).
General Release Information
The release 1.4.20 has been released on the 23rd of November 2022 and contains one bug fix. Below you can find more information related to the bug fix. We will update your Production account automatically and the Sandbox account can be updated from your (the customer's) end at any given time.
CCI-52 Improved charge/credit identifier logic
In the Credit Card Reconciliation SuiteApp it is possible to set the charge/credit identifier and this identifier was case sensitive. This did introduce for particular users the situation that they could for example select the option Debit/Credit, but when in the imported CSV file the values were listed as debit or credit then the system couldn’t properly set the charge/credit. This version removes the strict comparison and due to this, the system will be able to correctly set the charge/credit for an imported credit card transaction line.