726 results found
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calculate exchange rate automatically for foreign payments
Currently when entering a payment for an invoice in a foreign currency I need to enter the exchange rate. Generally I have to final AUD value and the final USD value, so would prefer the fx rate is calculated automatically.
In addition, it seems the fx rate has limited precision; I end up needing to put in manual adjustments when reconciling which is also a pain.
2 votes -
connecting to xero api with http_oauth
can you please provide some sample code , on how to connect to xero using http_oauth pear package .....
2 votesWe now have lots of code samples at http://developer.xero.com/
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make Xero contacts available over LDAP
Xero could export contacts via LDAP for integration with VOIP caller ID, email addressbooks and access control systems.
2 votesWhile I think it is a cool idea, it is not our model to provide specific technology interfaces like LDAP – it should be quite straightforward to connect to our API, return contacts in XML, and then make them available over LDAP with your own code.
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Link AP tranactions to a 3rd party payment program
The ability to run AP transactions into high volume payment program (BACS/ CHAPS/ Cheque run etc) rather than paying invoices manually...and record result against AP transaction
2 votes -
Prepayment webhook
We'd like prepayment transactions to trigger a webhook so that we can account for them.
1 vote -
Bank Reconciliation Adjustments & Tab Key Issue
When reconciling bank entries with expense invoices, we encounter credit card charges that need to be recorded separately as “Adjustments.”
At present, when using the Tab key during reconciliation, the cursor skips over essential fields such as Contact, Description, Account, Tax Rate, and Amount and moves directly to the Reconcile button. This limits efficiency and makes data entry cumbersome.
Additionally, it would be beneficial if the amount field could auto-populate during reconciliation to reduce manual entry.
We have also prepared a recorded screen capture that demonstrates this flaw in action, which can be shared to illustrate the issue more clearly. …
1 vote -
pagination
Bank Transfers and Batch Payments both require Pagination. They can both allow customers to store more data that can be returned in a single result (i.e. API fails to complete). If-Modified-Since is not sufficient and there are no reliable optimised Where clauses that can be used to reliably bring back all data.
1 vote -
New Feature
It would be great if you could download the quotations into excel - this way we can removed pricing and produce a Job sheet with quantities to give to our Project Managers.
1 vote -
Add Purchase Order Billed Amount to the API
Ability to access the new 'billed' status of a purchase order line on the purchase order API
1 vote -
Support tracking categories on bank transfers via the API
We divide our P&L and Balance Sheet by tracking categories for departments. But when making bank transfers it's hard to ensure the tracking categories are set. I'd like to do this programmatically via the API (for things like Stripe Payouts) but tracking categories aren't supported
1 vote -
Updating credit endpoints
Add functionality to the credit notes endpoints to align with invoices - such as the "SearchTerm" and "createdByMyApp" parameters. It's difficult providing end to end solutions where credit notes can't function as effectively as invoices.
1 vote -
BAS preferred email
It would be helpful to have the XPM client contact email address as the default for activity statements.
Currently the email address is taken via the signatory field from the previous activity statement period.
This will remove the risk of any Activity Statements being sent to the wrong email address, particularly when a client updates their email address.
1 vote -
Auto calculated interest from assets on loan accounts
If registered assets can calculate depreciation after setting it up, can we not also have automatically calculated interest on loan accounts?
1 vote -
HubDoc API Access: Enable Automated Document Matching & Workflow Integration
I've been using HubDoc for a while now and genuinely love what it does such as fetching invoices, extracting data, keeping everything organized. But every time I try to build any kind of automation around it, I hit the same wall: there's no API.
No webhooks. No HTTP endpoints. Nothing to hook into.
Every other tool in my stack talks to something. Make, Zapier, QBO, even smaller niche tools have at least basic API access. HubDoc is the odd one out — and it's frustrating because it sits right in the middle of the workflow.What I'd love to see:
…
1 vote -
Enhancement of Search Functionality in Manual Journals Screen
Overview
This proposal recommends enhancing the search functionality within the Manual Journals screen by enabling users to search directly using the Journal ID/Number.Current Limitation
At present, users must rely on journal narration or other descriptive fields to locate specific journal entries. This often requires manually saving or noting down text, which can be inefficient and prone to error, especially when managing large volumes of journals. Alternatively, there is the journal report where you can search for journal ID's however this requires more steps and a more lengthy process when the simplicity of searching for journal number in the screen…1 vote -
change location of pop up
I have been having an issue with Xero Me App. Well not an issue, but a User-Interface pain point. I just had the same comment from a client so thought I'd bring it to your attention.
When we use the Xero Me App, and enter a photo of a an Expense receipt, then Analyse, it pops up a black "We're analysing this" for like 3-4 seconds and this covers the Add Expenses button.
When entering a pile of receipts, this a real pain. We have to wait for the pop-up to disappear, after an infuriating 3-4 secs, before we can…
1 vote -
Ability to retrieve the text associated with the reconciled bank statement line via the API.
The Batch Payments API returns a ReconciledStatementLineID, but there is no documented API endpoint that lets one retrieve that line.
1 vote -
Onboard Supplier contact information by sending them a link
It would be great to be able to onboard Suppliers contact information just like you can do with employees now. Let the Supplier complete all the information themselves in regard to their details etc.
1 vote -
Add Ability to Create/Update Client Bank Account Fields via XPM API
Currently, the XPM API only allows retrieving client bank account details. There is no way for third‑party apps to create or update these bank account fields through the API.
This limitation means practices need to manually enter bank details after creating a client, which slows down onboarding and reduces the efficiency of integrations.
Please consider adding API support to:
Create client bank account details
Update existing client bank account detailsThis would improve workflow automation and give third‑party apps full capability to manage client data.
Thank you for considering this feature.1 vote -
Automatically send a remittance after payment
Remittances should be sent automatically after a bill has been paid. After I pay a bill I get a small pop-up in the bottom left corner in Chrome with a select link to send a remittance advice... which disappears quickly! Many times I have had to go back into the paid bill, and send the remittance again.
Alternatively, when setting up the contact there should be able to check a box that says "send remittance automatically".
Please have this as a priority for 2026, instead of all the cosmetic changes!
1 vote
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