NetCash Release Notes 6/26/26
Overview
Cumulative customer-facing NetCash release notes from 2025.2.51 through the 2026.1.56 release, spanning cash application, matching, reporting, AI and MCP tooling, OneWorld balances, and configuration imports.
Highlights
- FIFO cash application - a cash application automation rule type that applies payments to the oldest open invoices/bills first, with criteria matching and entity-alias matching. See NetCash Automated Cash Application.
- Match Priority - a setting on cash application rules to control how candidate matches are prioritized. See NetCash Automated Cash Application.
- Proof of Cash report - run proof of cash across all bank accounts and download it as a single report, with subsidiary and period filtering. See NetCash Proof of Cash Report.
- Expanded AI / MCP tooling - AI can suggest and create automation rules and assist with cash application, plus a new account-balances tool for cash-position views. See AI Integrations.
- CSV import for configuration records - stand up bank accounts, automation rules, and transaction templates from CSV. See NetCash Automation Rules - CSV Import.
What's New
Cash Application and matching
- FIFO cash application rule type - applies cash to the oldest open invoices/bills first, with criteria matching and entity-alias matching so payments find the right open transactions.
- Match Priority setting - control how cash application candidates are prioritized when more than one could match.
- Manual Match record-type filter - filter the Manual Match page by record type, in addition to the customer/vendor filter.
Automation rules
- Filters on automation rules - additional filtering controls when defining rules.
Reporting and dashboards
- Proof of Cash report (all accounts) - one downloadable report covering every bank account, with subsidiary and period filtering.
- Reconciliation difference column - the reconciliation list now shows the difference between the adjusted bank balance and the GL balance.
Transactions
- Void on unmatch - a global "Void Transactions when unmatching" setting voids NetCash transactions instead of deleting them, for environments whose internal controls prohibit deleting journal entries.
- Create Transaction link - the Create Transaction button now links through to the custom transaction it created, when custom transaction types are enabled.
Imports
- CSV import for configuration records - import NetCash bank accounts, automation rules (with filters, groups, matching criteria, and grouping), and transaction templates via CSV.
- Negative-number formats - CSV/TXT import handles negative-number formats, including parenthetical negatives.
AI and MCP
- MCP Tools - AI agents can suggest and create automation rules (GL Match, Cash Application, Create Transaction, Create Transfer) and assist with cash application.
- Claude Cowork Plugin - for teams using Claude, install the NetCash plugin to give Claude specialized knowledge on NetCash.
- Account balances tool - a new Get Account Balances MCP tool surfaces cash position for AI-agent views.
Integrations
- BOA Cash Pro - improved handling of customer and bank reference fields on import.
- Skript - the Skript provider is now supported on the NetCash help page.
Platform and settings
- Global Settings links - new links for Saved Search rule import and Bulk Unmatch.
- Customer Hub link - added to the NetCash help resources.
Improvements
- Manual Match selection persistence - your selection is kept when you click a transaction.
- Manual Match on deposits - option for a non-cash account on deposits, plus query-performance improvements.
- Auto-match validation - account-level validation for auto matches.
- Reconciliation completion celebration - a celebration when every transaction on an account is matched.
For questions or support regarding this release, please contact Netgain Support.
