Detailed changelog for Continia Banking 2025 R2

This article lists all new updates, features, service packs, and hotfixes for Continia Banking 2025 R2.

Tipp

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Wichtig

Continia Banking 2025 R2 supports the following version of Microsoft Dynamics 365 Business Central: Business Central 2025 R2 (v27).

Continia Banking 2025 R2, Service Pack 2

Release date online: December 15, 2025
App version: 27.2.0

New or changed functionality

Functional AreaDescriptionID
General ApplicationAdded instructions for debtor and creditor at the group level.71328
General ApplicationAdded additional options for the creation of End-to-End ID and Payment Information ID, with multiple length variants (18, 15, and 16 characters).71248
71954
General ApplicationEnabled GZip compression for Danske Bank communication. Compression improves performance and reduces bandwidth usage for payment operations. It applies automatically to all requests and responses, including payment exports, bank statement imports, and payment status inquiries. No configuration is required.72426
Payment ExportMade the payment template extensible for partners.72048
Payment ExportAdded publisher and change options for customizing remittance information.68797
Payment ExportYou can now email mandates directly to customers. The required entry is created automatically during upgrade or activation to maintain correct report layouts. For more information, see Working with SEPA mandate reports and email delivery44522
Payment ExportExcluded unverified bank accounts from payment suggestions.71514
Payment ExportRemittance Advice: Added more information in the dataset and made layout changes.68114
Payment ExportEnhanced the web client experience by implementing a workaround for a known Microsoft platform issue where a background dialog could be rendered behind the active page during suggestion processing, making the client appear unresponsive.71340
Payment ImportAdded a sum posting feature that consolidates multiple applications for the same account into one ledger entry on a single statement line. For more information, see Posting multiple applications as one sum entry68929
Payment ImportAdded support for the Bank Accounts account type in search rules.70022
Payment ImportAdded the Balance (LCY) field to the Match Details FactBoxes on the Payment Reconciliation Journal page and the Payment Application Review page. The field shows the total balance of open ledger entries.70590
Payment ImportAdded a new cue to role centers to show customer ledger entries put on hold after handling a direct debit return in reconciliation.70004
Payment ImportAdded support for using the first reconciliation line detail text in posting description templates. Added a new default template called DETAILTEXT.71819

Bug fixes

Functional AreaDescriptionID
General ApplicationFixed error in TietoEvry import where asynchronously fetched files could get incorrect file types.71716
General ApplicationFixed error in Bizcuit import that caused an infinite loop.71670
General ApplicationUpdated DE Demo App to use the correct VAT Posting Group in split rules. Changed from NO VAT to OHNE MWST.71376
General ApplicationAssisted setup for Payment Receivables now preserves the current payment method in the Payment Method (New) field when modifying a record, instead of deleting it. Additionally, synchronization of the Summarizing Payments field has been fixed.71388
Payment ExportFixed an issue where Find Discount could collect ledger entries without discount amounts based on discount due date instead of due date. This occurred only when multiple ledger entries were included in the suggestion filter. Ledger entries without discounts are now evaluated solely by due date.72419
Payment ExportFixed an issue where OCR file import in the cash receipt journal stopped processing the entire file if a single line caused an error (e.g. double payment). This behavior occurred when Continia Banking was active, preventing valid lines after the error from being imported. The import now continues processing remaining lines even if one line fails.72244
Payment ExportFixed issue where Z4 file creation used incorrect filtering. The filter now correctly applies Exported = false instead of Exported = true.71739
Payment ExportFixed an issue where entering a value in “New payment after number of Entries” in Banking Export Setup or on a customer/vendor card incorrectly created two payments instead of one. Now, payments correctly reflect the specified number of entries.72110
Payment ExportUpdated sender reference handling: if no template is defined, the system now uses the account’s alternative information first; if empty, it falls back to the account name.71873
Payment ExportFixed issues with credit memo handling when summarizing payments. Now correctly applies Ignore Credit Memo Date and supports summarizing credit memos with earlier due dates than invoice dates.68171
Payment ExportFixed issue where summarizing payments caused missing External Code information in Regulatory Reporting.71751
Payment ExportFixed filtering of external codes for NO and SE: the system now considers the sender country code, as regulatory reporting codes are linked to the sender, not the recipient.71046
Payment ExportFixed issue where deleting a suggested line also deleted the single payment bank account.71920
Payment ExportFixed an issue where mandates with status Closed could still be reused, potentially causing duplicate payment files and bank rejections. Now, closed mandates are properly blocked from further use.72049
Payment ExportFixed issue where Handelsbanken payment file exports could contain invalid characters in filenames due to incorrect character sanitization.72609
Payment ExportFixed default sender reference template behavior. Now checks alternative account information before using the account name.71873
Payment ExportFixed entry selection in suggestions when using the Always Apply Discount option. Selection now correctly ignores discount and due dates when this option is enabled.71370
Payment ExportFixed potential error in bank account verification that could cause a client crash with Index out of bounds.72247
Payment ExportPreviously, if an order had already been posted, changes to default dimensions were not reflected in the payment journal suggestions. This has been fixed: now, updates to default dimensions are applied correctly, even for posted order lines.72414
Payment ExportDimensions are now preserved when using a line for batch posting.72255
Payment ExportFixed assignment of mandate sequence type.72523
Payment ExportIn advanced mode, if a payment proposal was summarized but contained only a single payment line, the line was created correctly as a single line. However, during editing, it was incorrectly treated as a summarized line. This has been fixed so that single-line proposals are now correctly handled as single lines during editing as well.72205
Payment ExportPreviously, voiding payments in advanced mode did not correctly reset the end-to-end ID. This has been fixed so that the end-to-end ID is now properly reset in advanced mode.72197
Payment ExportChanging dimensions in advanced mode now correctly updates the global dimensions.72210
Payment ImportFixed the default value of the Document Type field in search rules assigned to an account type other than G/L account or bank account.72377
Payment ImportAdded reconciliation lines with Difference status to journal line creation in Bank Account Reconciliation.71802
Payment ImportCorrected the value of the Accept Pmt. Discount Tolerance field in the Payment Application Proposal after an entry is unapplied.70630
Payment ImportFixed the auto-application process when both payment tolerances and custom tolerances apply.68771
Payment ImportFixed issue where matching did not run automatically during Import and Apply Bank Transaction. Matching now runs without requiring manual action.71380
Payment ImportFixed issue where changing the statement amount on a Bank Account Reconciliation line did not update when matched to a Bank Account Ledger Entry.71052
Payment ImportFixed issue where the Show All button was not visible in certain situations on the Bank Account Reconciliation page.72267
Payment ImportFixed the default KID Payment Reference Validation Pattern. It now correctly validates 10-digit numbers instead of 11.70922
Payment ImportFixed error in Bank Account Reconciliation when Sum Posting per Day was enabled for the Payment Reconciliation Journal.71212
Payment ImportFixed error where currency code was not correctly assigned when creating journal lines in Bank Account Reconciliation. Also fixed posting errors when applying FCY entries with the same bank account.71874

Continia Banking 2025 R2, Service Pack 1, hotfix 2

Release date online: November 24, 2025
App version: 27.1.2

Bug fixes

Functional AreaDescriptionID
Payment ExportDue to incorrect filtering, the Z4 file creation did not work correctly. A filter for Exported = true was used instead of Exported = false. This has been corrected.71739
Payment ExportWhen summarizing was used in the Payment Suggestion, the transfer of Regulatory Reporting codes did not work correctly. The created payment journal line was missing the External Code information. This has been corrected.71751
Payment ExportIf no sender reference template is defined for the suggestion, a default is used by the system, which uses the account name. The default behavior was adjusted: the system now checks the alternative information on the account. If the alternative name is available, it is used; otherwise, the normal account name is used.71873
Payment ExportWhen creating payment journal lines from a suggestion using single payment bank accounts, deleting the suggested line also deleted the single payment bank account itself. This behavior was incorrect and has been fixed.71920
Payment ImportAn error occurred in Bank Account Reconciliation when the Sum Posting per Day setting was enabled for the Payment Reconciliation Journal.71212
Payment ExportFixed an issue where remittance advice documents in the outbox lost content when they were recreated after an update.71423
General ApplicationUpdated the DE Demo App to use the correct VAT Posting Group in split rules. Changed from NO VAT to OHNE MWST.71376
General ApplicationImproved Assisted Setup for Payment Receivables to store the current payment method values in the payment method (new) field and not delete them after modification. Also fixed synchronization of the Summarizing Payments field.71388

Continia Banking 2025 R2, Service Pack 1, hotfix 1

Release date online: November 16, 2025
App version: 27.1.1

Bug fixes

Functional AreaDescriptionID
General ApplicationBizcuit: fixed an error in Bizcuit import that caused an infinite loop.71670
General ApplicationTietoevry: fixed an error in Tietoevry import where asynchronously fetched files could receive an incorrect file type.71716
Payment ExportFixed an issue where entry selection didn’t work correctly when using the Always Apply Discount option.71370

Continia Banking 2025 R2, Service Pack 1

Release date online: November 11, 2025
App version: 27.1.0

New or changed functionality

Functional AreaDescriptionID
Payment ImportThe Import and Apply Payments action in the Payment Reconciliation Journal is now shown by default on the page.68213
Payment ImportAdded support for matching G/L open entries by balance.69013
Payment ImportThe Document Type field is now hidden on the Payment Reference Rule Test page when document type matching is not enabled for the rule.70007
Payment ExportThe Finance module Multi-level Payment Discount is now prepared for integration with Banking. Discounts are checked in payment suggestions if the Finance module is activated. A Finance update is also required.65586
Payment ImportImproved performance for manual application using the Apply Entries action on the Bank Acc. Reconciliation or Payment Reconciliation pages. Also improved performance for manual application using the Ledger Entries action on the Payment Application Review page.70824
Payment ImportAdded an action to the error message displayed when importing account statements, allowing users to clear the statement date.67819
Payment ImportReintroduced the standard Business Central codeunit Match Bank Rec. Lines and added new events for matching and removing matches from bank account ledger entries.67844
Payment ImportCreated a test to ensure payment entry fields are aligned with archive and ledger.70584
Payment ImportExtended validation for payment date.71290
General ApplicationAccessPay is now available in Feature Management.71326
Payment ImportAdded a check during file import that displays an error message if multiple bank accounts exist with the same combination of Bank Branch No., Bank Account No., and currency, or IBAN and currency.68405

Bug fixes

Functional AreaDescriptionID
Payment ExportFixed an issue where invoices with 100% VAT showed an amount of 0. The validation engine was blocking posting due to an incorrect amount check.69946
Payment ExportThe End-to-End ID is now included in the payment suggestion header (summarized payments) and lines (non-summarized payments). Visibility depends on the summarization setting. The field can also be used for Sender Reference templates if needed.70468
Payment ExportFixed an issue where the Remittance Advice printout was incorrect when the finance module association was used. Linked or associated accounts were not printed.70768
Payment ExportPartial payments with discounts are now disallowed, as they could not be posted correctly. This feature will be reintroduced later in a different way.70851
Payment ExportChanged the behavior of the posting job queue for exported payment journal lines. It is now created but not automatically activated after setup.70982
Payment ExportFixed an issue where standard linking between accounts was not working correctly. The linked account was always skipped if it had a higher balance. This condition now applies only when the linking payment is used in the suggestion.70989
Payment ExportFixed external code validation. When entering a code used for multiple countries, the selection page now allows users to confirm with OK.71043
Payment ExportFixed an issue where deleting an added value in the sender reference pattern incorrectly inserted “2%” into the pattern. The pattern now updates correctly when values are removed.70488
Payment ExportThe Payment Suggestion Templates tile is now always visible in the Role Center.71228
Payment ExportCorrected validation error details for related fields.70253
General ApplicationRabobank: Only one bank account is authorized, but all were shown as ready.71040
General ApplicationFixed an error handling response from Continia Online when updating status.70952
General ApplicationBizcuit: Fixed an error when importing account statements from ABN AMRO.70997
General ApplicationBizcuit: Fixed an issue where payments remained in the Sent to bank status after approval.70999
Payment ExportFixed an issue where payment suggestions created payment lines in the default journal instead of the current journal.71039
General ApplicationAdded support for extended clearing of information related to direct communication with Rabobank, Bizcuit, and similar integrations.71061

Continia Banking 2025 R2, hotfix 4

Release date online: October 27, 2025
App version: 27.0.4

Bug fixes

Functional AreaDescriptionID
General ApplicationResolved activation failure caused by CB 25 upgrade applying a filter to a field with ObsoleteState = Removed.70888
General ApplicationFixed issue where Update JobQueue 71553647 failed with an empty ETag error when encountering bank accounts not connected to Continia Banking (i.e., missing Bankcode Mapping). This error prevented updates to other valid bank systems from completing successfully.70826

Continia Banking 2025 R2, hotfix 3

Release date online: October 24, 2025
App version: 27.0.3

Bug fixes

Functional AreaDescriptionID
CSV ImportAdded support for specific CSV formats with double delimiters when a space exists in a CSV value.70709
Payment ExportFixed an issue where balance ledger entries incorrectly received the End-to-End ID instead of the Payment Information ID during batch posting; now, balancing lines include only the Payment Information ID, as they aggregate multiple lines.70316
Payment ExportFixed an issue that prevented users from selecting external codes.70627
Payment ExportWhen a journal contained multiple payment methods, batch posting was applied to all lines even if setup existed for only one method. This is fixed: only payment methods with batch posting configured are now included.70697
Payment ImportBlocked bank accounts are now disregarded during file import.70312
Payment ExportFixed an issue where the Recipient Reference was overwritten on the payment journal line after selecting Apply Entries. The Recipient Reference now rebuilds correctly based on the template setup instead of using a fixed value.70377
Payment ExportFixed an issue where the Standard Batch Approval Send/Cancel actions weren’t shown in Banking Journals. They now appear if no Security module approval workflows are enabled.70633
Payment ImportFixed an issue where modifying the applied amount in the application proposal caused the system to delete the transferred difference line without restoring the original transaction amount on the parent line.67818

Continia Banking 2025 R2, hotfix 2

Release date online: October 8, 2025
App version: 27.0.2

Bug fixes

Functional AreaDescriptionID
General ApplicationResolved error occurring when exporting payments via Danske Bank direct communication.70384

Continia Banking 2025 R2, hotfix 1

Release date online: October 7, 2025
App version: 27.0.1

Bug fixes

Functional AreaDescriptionID
Payment and Cash ReceiptsFixed an error where mandate usage was not registered correctly.70113

Continia Banking 2025 R2

Pre-release date, online: September 23, 2025
Release date online: October 1, 2025
App version: 27.0.0

New or changed functionality

Functional AreaDescriptionID
General ApplicationEnhanced the HTTP client interface with new utilities, updated related integrations, and improved logging for greater consistency and functionality.69164
General ApplicationAdded the possibility to add implementation for storage of Authentication Items used in direct integrations to banks.68936
General ApplicationUpdated Continia Hub – Learn Links.69853
General ApplicationAdded versioning to Feature Management.69481
General ApplicationThe following changes have been applied to the Continia Banking permission sets:
  • CTS-CB BASIC has been renamed to CTS CB BASE READ
  • CTS-CB ADMIN has been renamed to CTS CB BASE ADMIN
  • CTS-CBCP BASIC has been renamed to CTS CB CSV EDIT
  • CTS-CBCP ADMIN has been renamed to CTS CB CSV ADMIN
  • CTS-CBPP BASIC has been renamed to CTS CB PSP READ
  • CTS-CBPP ADMIN has been renamed to CTS CB PSP ADMIN
  • CTS-PE BASIC has been renamed to CTS CB EXPORT READ
  • CTS-PE ADMIN has been renamed to CTS CB EXPORT ADMIN
  • CTS-PI BASIC has been renamed to CTS CB IMPORT READ
  • CTS-PI ADMIN has been renamed to CTS CB IMPORT ADMIN

The renamed permission sets will be updated automatically during the upgrade.
For more information about permission sets, see Continia Banking permissions.
68673
General ApplicationAdded context-sensitive help links to several pages in Continia Banking.70003
Payment ExportPostings can now be created in one sum using Posting Option BatchPosting via Payment Info ID.62770
Payment ExportThis version introduces explicit control over how payment discounts are detected and applied, including optional tolerance and date-based logic. Discounts are considered only when the Find Payment Discounts feature is enabled. When active, the application method can always apply the entry’s discount even if expired, or respect the tolerance date in calculations. An optional posting date can override the evaluation date, while leaving it empty preserves the previous logic.62364
Payment ExportAdded batch posting functionality to Payment Export. Includes new validations, setup options, posting number series notifications, and import setup validation for transaction reversals.66651
Payment ExportAdded a Pattern column to the Banking Templates list showing readable field references instead of placeholder tokens (for example, displays <"Customer"."Name"> instead of <%1>). The original Text Pattern column is hidden.69606
Payment ExportAdded option to fill End-to-End ID in detailed entries.68209
Payment ExportAdded Export Setup Check.66652
Payment ExportAdded Import Setup Check.66653
Payment ExportAdded option to fill End-to-End ID in VAT entries.68210
Payment ExportAdded Payment Posting Setup fields.66654
Payment ExportAdded Payment Distribution functionality. See Splitting payment suggestions across multiple bank accounts67025
Payment ImportAdded option to reopen a specific entry in Return Direct Debit.68211
Payment ImportAdded ability to view which Payment Reference Rule was used to create a Payment Application Proposal.68538

Bug fixes

Functional AreaRelease NotesID
General ApplicationFixed missing permissions and resolved permission set code analysis warnings.69478
General ApplicationCSC Telemetry now shows a deprecation warning.69479
General ApplicationFixed an issue where running Upgrade twice could result in templates being deleted.69899
69769
Payment ExportFixed multiple issues when manually editing Direct Debit journals after using Suggest Direct Debits in standard mode. Issues included incorrect mandate selection and errors when changing fields such as Recipient Bank Account, Direct Debit Mandate ID, Payment Method Code, and Balancing Account.69409
Payment ExportFixed an issue where payments were summarized even when an error occurred.68891
Payment ExportRemoved payment batch approval type.64335
Payment ExportPurchase header not updated correctly when vendor has multiple bank accounts and different currencies.68853
Payment ExportFixed Payment Validation Error – navigation to Error fails.69477
Payment ExportFixed an issue in the Payment Journal where customers had to click Update Status multiple times to update all lines when statuses were split across multiple files.70241
Payment ImportDeleting a child line clears Imported to Company in the related bank transaction line. This has now been fixed.69828
Payment ImportCorrected Direct Debit Return Processing Type – Reverse. The reversed bank account ledger entry was set to an amount with wrong sign.69499
Payment ImportFixed an error when changing the type for return direct debit processing.70006
Payment ImportFixed an issue where the bank account reconciliation import job queue was not processing files automatically.70034