Release Notes (September 15, 2026)
Highlights
- RegZ Disclosure — Payment Schedule Table Now Renders Correctly After Loan Term Changes — Fixed an issue where the Regulation Z disclosure's payment schedule table showed missing or incorrect figures after loan terms were changed.
- Consumer Credit Reporting Export — No Longer Hangs in Notification Center — Fixed an issue where the Consumer Credit Reporting export intermittently stalled and left the notification center hanging.
- Trust Account Reconciliation — Reconciled Items No Longer Show as Outstanding — Fixed an issue where reconciled deposits and checks continued to appear as outstanding on the printed Trust Account Bank Reconciliation report.
- Platform Stability — Fixed Idle Transaction Causing Tenant Wide User Blocking — Fixed an issue where a nested save operation left an idle database transaction open, causing tenant wide blocking for app users.
- Platform Stability — Fixed Redundant Index Creation Causing Schema Lock Contention — Fixed an issue where the system re issued CREATE INDEX statements for indexes that already existed, causing schema lock contention for app users.
Loan Origination
Bug Fixes
- Condition Tracking — Responsible Party Now Saves on New Conditions — Fixed an issue where the responsible party entered while creating a new condition in Loan Origination Condition Tracking was not saved.
- Closing Disclosure — Purchase Formatting No Longer Breaks When Printed in a Group — Fixed an issue where printing a Closing Disclosure Purchase document before other documents in a group caused it to lose its formatting.
- RegZ Disclosure — Payment Schedule Table Now Renders Correctly After Loan Term Changes — Fixed an issue where the Regulation Z disclosure's payment schedule table showed missing or incorrect figures after loan terms were changed.
Loan Servicing
Features & Enhancements
- ACH Payments — Apply to Reserve When No Bill Exists — Users can now turn on a setting that automatically applies incoming ACH payments to reserve when no bill has been generated for the loan.
- Construction Loans — Ability to Calculate Interest Based on Current UPB — Users can now calculate interest on Construction, Commercial, and Line of Credit loans using the current unpaid principal balance.
- Positive Pay — New CIBC 160 Byte File Format Added — Users now have a CIBC 160 byte Positive Pay file format available for check disbursement processing.
Bug Fixes
- Lockbox Processing — Final Register Now References the Correct Process — Fixed an issue where processing a lockbox file could reference or print the wrong final register.
- Consumer Credit Reporting Export — No Longer Hangs in Notification Center — Fixed an issue where the Consumer Credit Reporting export intermittently stalled and left the notification center hanging.
- Loan Servicing — Negative Principal Paydown Apply Button Now Enabled — Fixed an issue where the Apply button was incorrectly disabled when entering a negative principal paydown.
Integrations
Features & Enhancements
- Draw Manager — Order AFX Reports Directly From a Draw — Users can now order an AFX property search report directly from the Draw Manager's draw review menu.
Platform
Features & Enhancements
- Loan Servicing Notices — Notice of Intent Word Template Added — Users can now upload a Notice of Intent Word template under Loan Servicing Notices options.
- Borrower Reports and Notices — Notice of Intent Print Assistant Added — Users can now generate Notice of Intent documents through a dedicated print assistant in Borrower Reports and Notices.
Bug Fixes
- Platform Stability — Fixed Idle Transaction Causing Tenant Wide User Blocking — Fixed an issue where a nested save operation left an idle database transaction open, causing tenant wide blocking for app users.
- Platform Stability — Fixed Redundant Index Creation Causing Schema Lock Contention — Fixed an issue where the system re issued CREATE INDEX statements for indexes that already existed, causing schema lock contention for app users.
- Lender History — Search Issue Resolved — Fixed an issue affecting Lender History search results.
Trust Accounting
Bug Fixes
- Trust Account Reconciliation — Reconciled Items No Longer Show as Outstanding — Fixed an issue where reconciled deposits and checks continued to appear as outstanding on the printed Trust Account Bank Reconciliation report.