• Votes

    92

    Credit Card transactions need to post to Bank Rec.

    Since the General Ledger Cash Account is basicly the Check Register, all transactions posted to a cash account should flow to the bank rec. This would include credit ...
  • Votes

    31

    Make the GL Transaction Journal Entry Program More Intuitive and ...

    This program is one of the most non-intuitive, difficult programs to use in all of MAS90. It should not be so painful/confusing to transfer funds from one bank account ...
  • Votes

    4

    Hide Leading Zeros for display on Invoice numbers In customer ...

    The ability to Hide leading zeros on Invoice Numbers in Customer Maintenance and Inquiry. The Field is very wide, when you resize the column width the left side stays ...
  • Votes

    9

    Add Role to stop posting of out of balance journal.

    Role exist, to stop posting, of an out-of-balance journal from the General Ledger module. Enhance role, so it covers all modules.
  • Votes

    86

    cash receipts comments print in Bank Reconciliation

    When you put in a a description / comment for the cash receipts this comment should flow to Bank Reconciliation to allow easier identification of mutiple deposits.
  • Votes

    66

    Comments entered in cash receipts need to show up when doing inquiry ...

    When entering comments detail in cash receipts entry it prints on the cash receipts journal but cannot be accessed when doing account inquiry later. You should be able ...
  • Votes

    75

    ACH payments from AP should post to Bank Rec in Checks Section

    Currently ACH payments from A/P post to the Debits column in the Deposits/Adjustments section in Bank Rec. To be consistant, we would like ACH payments to post to the ...
  • Votes

    79

    Recall Sales Order when voiding an invoice

    The ability to recall the original sales order and "re-open" it so that you can invoice against it again. Currently if you've invoiced against a sales order, it is ...
  • Votes

    83

    Create a Credit Card to Bank Reconciliation Process / Sage Payment ...

    Currently the credit card transaction reconciliation to bank statement process is a very labor intensive task. With the addition of Sage Credit Card Solutions, I'd like ...
  • Votes

    26

    Cash Receipts Entry

    If you have multiple deposit numbers for one day and you wish to enter them in one batch, you currenlty have to Accept the current entry and re-enter the cash receipts ...
  • Votes

    76

    Automate AP invoice reversals

    Ok, I'm not perfect and I sometimes post AP invoices that need to be reversed in their entiretly. The only way I know to do this is to enter a new invoice in reverse ...
  • Votes

    5

    VI Import into Cash Receipts by Invoice #.

    Add the functionality to be able to import Cash Receipts through VI with the Invoice # only, as if you were manually entering in Cash Receipts entry by invoice #.
  • Votes

    13

    Make Bank Transfers Easier

    Bank Transfers from one bank code to another should be easier to do in Sage 100. Right now, you have to go to Transaction Journal Entry and fill out Offset Account No, ...
  • Votes

    5

    EMP Audit report should report data by EmployeeKey

    The report should report data by EmployeeKey not EMP # so changing department or EMP # will still repot older data.
  • Votes

    15

    GL Trial Balance Report - Only Print Active Accounts

    Please add an option to only print "Active" accounts when printing the GL Trial Balance Report
  • Votes

    9

    account inquiry by month

    with lengthy accounts like cash and inventory, it would be nice to have the Account Inquiry, Transactions tab filter by Month and not just by Year (and export that ...
  • Votes

    18

    Add 'Copy From' button for A/P Invoice Data Entry

    Allow the Copy From feature to work in A/P to speed up invoice data entry on an invoice that is received each month. Recurring Invoice Entry doesn't allow the vendor's ...
  • Votes

    21

    Positive Pay should capture actual Payee Name as written on check

    To inhibit fraudulent cashing of checks, banks require actual Payee Name as shown on the check. Bank Reconciliation file is updated with Vendor Name, not Remit-to Name ...
  • Votes

    36

    AP: Add new payment types EFT & ACH options to AP Manual Check Entry

    Don't have different options currently for different types of payments that banks allow. It would be nice to identify EFT & ACH payments as such. Right now I label them ...
  • Votes

    8

    Approval Processes

    An approval process within the system that requires manager approval for various actions. Examples Check Processing: to allow check signer to approve checks to be ...