Release Notes 2026
Frequently Asked Questions!
How do I access field level help?
How do I see descriptions of codes in enquiry screens?
How do I make a user have read only access
Can I copy and delete lines in data entry screens?
Out of Office
Can I run a report to view security groups against my users?
How do I stop a user posting to prior and future periods?
Delete a payment run
Changing security access to a user
User setup requires multiple screens and is complicated!
De-allocate an AP Payment
How to stop over receipting of orders
Why has my transaction not appeared on the AP Payment run?
Download Templates
Useful information to include when raising Financials cases
Prevent users posting to specific balance classes
Hints and Tips!
General Ledger - Helpful how-to guides
General Ledger Data Entry
Journal Upload
Journal Entry, Copy and Authorise
Multi Level Authorisation
Modernisation Budget Upload
General Ledger Enquiries
GL Enquiries - Transaction Enquiries
GL Enquiries - Balance Sheet & Profit and Loss
GL Enquiries - Account Details
Trial Balance
Period and Year End Close
General Ledger Security
Accounts Payable - Helpful how-to guides
Accounts Payable Supplier File
Accounts Payable Data Entry
Log and Invoice/Credit note
Enter a logged Invoice
Enter a non order related Invoice
Order Related Invoice
Order Related Invoices with Mismatches
Order Related Invoice - Mismatch Scenarios
Mismatch Types
Invoice and Credit Note Matching
Accounts Payable Enquiries
Accounts Payable Transaction Maintenance
Accounts Payable Payment Processing
Accounts Payable Code Tables
Accounts Payable Reports
Accounts Receivable - Helpful how-to guides
Customer Maintenance
Enquiries
Cash Allocation
Data Entry & Contracts
Student Sponsor - Education sector
Credit Control
Credit Control Overview
Customer Statements
Diary Notes
Query Management
Interest Charges
Dunning Process
Credit Control Diary
Reporting within Financials
Student Sponsor - Education Sector
Purchasing Management - Helpful how-to guides
Fixed Assets - Helpful how-to guides
Prompt File - Asset Creation
Join Prompt File Items
Fixed Assets Period End & Depreciation
Revaluation
Disposals
Relife
Reconciliation process - Helpful how-to guides
Accounts Receivable Reconciliation Reporting
Accounts Payable Reconciliation Reporting
Daily Checks
Fixed Assets Reconciliation Reporting
General Ledger Reconciliation Reporting
Purchasing Management Reconciliation Reporting
Reporting
General Ledger Reports
Accounts Payable Reports
Accounts Receivable Reports
Sales Invoicing Reports
Fixed Assets Reports
Bank Reconciliation Reports
Import Tool Kit
Procurement Portal
Procurement Portal new User Interface
Navigation
Requisitions
Orders
Authorisation
Receiver
Invoice Clearance
Portal Administration
Procurement Portal - Teams Setup
Invoice Manager
Purchase Invoice Automation (PIA)
March Release Update
February Release notes
January 2026 Release notes
Deleting Supplier training data
Password Reset in Smart-Capture
Adding a New User - Smart Workflow
Resetting password - Smart Workflow
Purchase Invoice Automation
Reprocessing Failed OCR Supplier Invoices
How to Create a New User in Smart-Capture
Smart Capture Email Configuration Overview
Configuring Smart Capture to use Gmail in the Web UI
Configuring Smart Capture to use Microsoft 365 (Graph API) in the Web UI
MAP Configuration Non-Microsoft and Non-Google Accounts
New User Interface
BPM
Request a nominal
Request a customer
Request a Sales Invoice
Request a management code
Create a Pay Request
Request a Supplier
Bring Your Own BI (BYOBI)
Collaborative Planning
Financial Reporting Consolidation
Air Approvals
Registering Air Approvals
Air Approvals Administration – Create Mobile User
Air Approvals Administration – Reset User’s Activation Key
Reviewing Approvals
Disable/Enable a User
Delete a User
API
Release Notes 2025
December 2025
November 2025
October 2025
September 2025
August 2025
July 2025
June 2025
May 2025
April 2025
March 2025
February 2025
January 2025
Release Notes 2024
December 2024
November 2024
October 2024
September 2024
August 2024
July 2024
June 2024 Release
May 2024
April 2024
March 2024
February 2024
January 2024
Release Notes - Previous years
Contents
- All categories
- Purchase Invoice Automation (PIA)
- Configuring Smart Capture to use Microsoft 365 (Graph API) in the Web UI
Configuring Smart Capture to use Microsoft 365 (Graph API) in the Web UI
Updated
by Caroline Buckland
Configuring Smart Capture to use Microsoft 365 (Graph API) in the Web UI
If Microsoft 365 is being used as the email provider, you will be required to configure the Smart Capture Email Input service.
Log into Smart Capture as an Administrator and select Admin Panel. Select Email Input on the left-hand side followed by Email application settings which is situated in the right hand corner of the screen. Select Graph API from the dropdown options.

A dialog box will pop up. select the option for Custom application, which will allow you to populate your own values for the app registration.

Fill out the information specific to your app registration.
- Your client ID is the app registration ID, taken from the Overview page of the app registration in Azure
- The Client Secret is the secret value that you created in the app registration
- The Scope will be automatically set based on the type of permission you select. Select permission type at the bottom, and ensure that Application is selected
- Lastly provide your tenant ID, which is also available in the Overview screen of your app registration
Example using Application permissions:

Save your configuration, and you should get a confirmation message that it updated successfully.

Next, select Add new email button to add an email address you’d like to configure email input monitoring for. Select your account type from the dropdown and choose your protocol. For Outlook accounts, Graph API is the preferred option, however IMAP and EWS (Exchange Web Services) are available as well.

Next you will provide the email address to be configured:
