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X-1FBO Updates V.2.4.61– 31

Release Date: 05/19/2026

Written by Amanda

Highlights

  • FlightBridge Performance & Reliability Improvements

  • Aircraft Weight Unit Setting

  • Suppressed Fee Master Product

  • Daily Close & Accounting Export Improvements

  • QBO V3 Integration Improvements

Enhancements

FlightBridge & Integration Improvements

  • Added automatic synchronization for existing tail numbers received through FlightBridge Incoming Requests.

  • Added automatic cancellation handling for FlightBridge pilot/operator self-service bookings to reduce unnecessary active requests and manual cleanup.

  • Enhanced Incoming Requests grid loading efficiency to improve overall performance.

  • Improved validation handling for incoming requests with invalid date ranges to help prevent processing issues.

  • Improved FlightBridge reservation loading performance and error handling to reduce timeout-related issues.

  • Fixed an issue where synchronized aircraft tail relationships were not consistently displayed across multiple locations.

  • Resolved an issue where opening services from the Incoming Request grid could cause the application to freeze.

  • Fixed an issue where pending incoming requests could incorrectly load as synchronized before being accepted.

Aircraft Weight Unit Setting

A new setting was added to the Fuel Product Profile allowing FBOs to configure how aircraft weight is displayed in Fuel Service Requests.

This setting is configured at the product level and can be set independently from the product’s main unit of measure. For example, an FBO may fuel in liters while still displaying aircraft weight in pounds.

Available options:

  • Pounds (default)

  • Kilograms

New Suppressed Fee Master Product

Added a new “Suppressed Fee” master product option allowing locations to keep selected fees visible on contract fuel invoices without sending them to processors. This behavior is now standardized across all supported processors.

WFS AirCard Mapping

Updated the World Fuel AirCard mapping for HotFueling transactions so Rapid Refueling Charges are now processed under the correct mapping instead of defaulting to Miscellaneous.

Daily Close Reliability Improvements

Enhanced Daily Close reconciliation performance to help reduce timeout errors and improve end-of-day processing stability.

Master Fuel Journal – Export to CSV

The Master Fuel Journal now supports Export to CSV for easier data extraction and consistency with other export options.

Accounting Export Report Improvements

Improved date range handling in exports to better align reporting results with the FBO’s local timezone settings.

Item List Report Tax Export Improvements

Improved sales tax accuracy in the Item List Report Excel export to better reflect item and location tax configurations.


Bug Fixes

Request Improvements & Fixes

  • Fixed an issue where printed requests could include contact information that had already been removed.

  • Improved Request lookup consistency to better align Tail Number search results with Customer and Aircraft records.

  • Fixed an issue where requests could fail to save after removing a contact when X-1 Forms functionality was enabled.

  • Resolved an issue where the POL Location could not be edited after updating the departure date on a request.

Aircraft & Permissions Improvements

  • Corrected an issue where Aircraft Tenancy Type settings could still be edited when related permissions were disabled.

  • Improved permission enforcement for aircraft tenancy configuration management.

Avfuel Fuel Release

  • Fixed an issue where valid Avfuel releases could be excluded from the Active Fuel Releases view due to UTC cutoff filtering logic.

Import Operations Improvements & Fixes

  • Corrected an issue where inventory-linked fuelings created through Import Operations could save incorrect Item Cost values on generated invoices.

Invoice Payment Method Display Fix

  • Fixed an issue where invoices created through the bulk-create API displayed the correct payment method in the Invoice List but showed a blank Payment Method field when opened in the invoice edit modal.

Daily Close Operation Date Visibility

  • Corrected an issue where the Operation Date was not displayed when reviewing the latest operation details during Daily Close processing.

Fueling Quantity Decimal Display

  • Resolved an issue where fueling quantities linked from TCSHUB displayed incorrect decimal precision.

DirectBill

  • Corrected a scenario where the system could take an extended time to respond without successfully creating the Direct Bill.

QBO V3 Integration Improvements & Fixes

  • Improved visibility of mapped tax information within Accounting Settings and Check Mapping pages.

  • Resolved issues where Cost Tax mappings did not appear correctly in the Delete Pending Mapping list.

  • Fixed synchronization and display inconsistencies when updating mapped Cost Taxes.

  • Enhanced QBO V3 history tracking visibility for mapped Taxes, Customers, and Items.

  • Improved synchronization validation to prevent payments from syncing when related invoices fail due to unmapped items.

  • Addressed additional QBO V3 synchronization and mapping stability improvements for Accounting Hub processing.

Important Notice

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