Added custom email-sending domains through Branding settings.
Added statement reconciliation reports and Portal downloads.
Expanded reconciliation workflows for premium, bank, remittance and contra processing.
Improved foreign-currency reconciliation and grouped reconciliation handling.
Redesigned Exchange Rates settings with clearer currency and automatic-rate information.
Improved financial reporting, journal outputs and report audit history.
Improved Portal keyboard and screen-reader accessibility.
Made reconciliation screens clearer with improved transaction labels, badges and loading states.
Improved payment-file generation and inbound bank-status processing.
Added support for preserving unique references in generic CSV premium imports.
Improved customer-email and remittance-email processing.
Added stronger monitoring, audit trails and data-integrity checks.
Fixed funded-premium payout links and payout-status calculations.
Corrected payout date filtering and reconciliation currency handling.
Fixed reconciliation timeout, memory-pressure and linked-journal issues.
Corrected statement reconciliation reports, downloads and spreadsheet presentation.
Fixed payment-file address data for eligible SEPA submissions.
Fixed dashboard filtering, organisation-user activity reporting and policy-insight performance.
Improved premium read-model recovery and background-processing reliability.