• Votes

    14

    "Clear all checks" feature in Bank Rec

    Please add a feature which allows the user to clear all checks with one button. Currently you have to manually uncheck each box which is time-consuming when you have over ...
  • Votes

    2

    Statistical Information

    I would like to include in Sage statistical information such as man hours per wage category, utilities consumption, number of Managers, Supervisors and Hourlies, F&B ...
  • Votes

    3

    Bank Check Deposit and Adj entry Add posted flag to screen so we can ...

    Bank Check Deposit and Adj entry Add posted flag to screen so we can determine what has already been posted. Everything entered will post to the same posting date, it ...
  • Votes

    22

    Apply a vendor's credit memo directly to a payable when entering.

    I'd like to see the same ability in a/p as we have in a/r. When entering a vendor's credit memo allow us to select an open invoice to apply it to.
  • Votes

    7

    Apply a vendor's credit memo directly to a payable when entering.

    I'd like to see the same ability in a/p as we have in a/r. When entering a vendor's credit memo allow us to select an open invoice to apply it to.
  • Votes

    21

    Credits in accounts payable appear in red.

    In Accounts Payable, Invoice Payment Selection, it would be helpful if the credits appeared in Red.
  • Votes

    3

    Ability to import transaction journal entries

    It would be nice to have the ability to import transaction journal entries, similar to the GL Exchange to import General Journal Entries. It takes me a long time every ...
  • Votes

    22

    Cash & Reconcile bank. Any and all transactions involving cash should ...

    Cash & Reconcile bank. Any and all transactions involving cash should flow to the Bank Reconciliation module.
  • Votes

    1

    Positive Pay for BMO Bank requires a separate trailer for voided ...

    BMO Bank requires two trailer records: one for issued checks with total issued count and total issued amount, and a separate second trailer record for voided checks with ...
  • Votes

    8

    General Ledger revenue posting by customer from Sales Order

    We would like the ability to setup a revenue account in A/R customer maintenance that would override the sales account from the item product line when an invoice is ...
  • Votes

    23

    Utility needed to void a range of unused A/P checks

    There needs to be a utility to allow the user to void a range of unused A/P checks so they can be recorded to Check History for auditing purposes. Right now I have a ...
  • Votes

    31

    Option to restrict posting date to the subsidiary ledger per module by ...

    Clients would like to be able to restrict the users ability to enter a document date such as the invoice date in AP or AR, receipt date in PO receipts etc. They would ...
  • Votes

    15

    Make Invoice Payment Selection Screen Customizable

    We would like to be able to customize this screen with the Customizer. We'd like the ability to make the following modifications: Extend the length of the Vendor Name ...
  • Votes

    10

    Current Bank balance in check printing screens

    It would be nice to not have to go to multiple modules to know if i have enough money to print checks. In all other software programs I've used the currect bank balance ...
  • Votes

    11

    Expand Vendor Reference Field

    To close the gap with Sage 50 (Peachtree), the Vendor Reference field should be expanded to at least 20, preferably 30 characters. 15 characters is less than the size of ...
  • Votes

    7

    Vendor Master Credit Limit Field

    To be consistent with AR Customer Master and to close a gap with Sage 50 (Peachtree), add a credit limit field to the AP_Vendor table
  • Votes

    8

    Add ability to print a deposit slip for cash receipts that can be ...

    To improve accuracy and speed up the process of making a deposit of cash receipts at the bank, it would be great to be able to print a deposit slip with all the checks ...
  • Votes

    1

    Separate numbering of deposits by bank code

    In the old version 3 you used to be able to keep a sequence of deposit numbers by bank code. In the new version 5, the deposit numbering sequence is now system wide and ...
  • Votes

    7

    More detail options on update from Cash Receipts in Daily Transaction ...

    Customer name and or number on daily transaction register where discount is applied to a cash receipt. Presently, no detail is provided except the division and the batch ...
  • Votes

    14

    AP Sort Checks by Vendor Name

    Problems occur on the Check Payment Selection, Check Printing, and Check Register when you use the option to sort AP checks by Vendor Name when you have more than one ...