• Votes

    1

    Manual cheque batches - miscellaneous payments. Please add an invoice ...

    In manual cheques, misc payment (cash invoice) there is a payment date and posting date. Both the cheque and the invoice get posted with the same date. There needs to ...
  • Votes

    9

    Undo check void

    Oops! Just accidentally voided a check that was legitimate. I don't see any way to correct this problem, aside from manually re-entering the check number as a new ...
  • Votes

    5

    Bank Services: Reverse Transactions by Posting Period

    In AR, a posting date can be set prior to the receipt date but when reversing, it is this posting date (and period) that becomes neglected. Our clients have flagged the ...
  • Votes

    22

    Allow create payment batch function to create a second batch (or ...

    One of our clients has multiple bank accounts and a separation of duties between the user creating the payment batches and the user posting the batches. Manually ...
  • Votes

    20

    Bank Reconciliation description not showing the bank transfer ...

    Bank reconciliation description only displays the source bank and the word transfer for every transfer transaction. Prior to 5.6 the transfer description was displayed in ...
  • Votes

    2

    AR - receipt batches should have an option to take discounts even if ...

    It would be helpful if you were allowed to set a "take discount" option even if it is past discount due date. Now, you have to manually enter each discount taken when ...
  • Votes

    17

    AR Statement reprint - there needs to be an easy way to cancel a ...

    AR Statement reprint - there needs to be an easy way to cancel a reprint statement function when it was sent in error. The way it is now it just goes on to the next ...
  • Votes

    22

    Modify due dates after posting in AR and AP

    It would be good to have credit management facility in AR whereby appropriately authorised users can modify the terms on existing posted transactions. This would be ...
  • Votes

    6

    Put account balance on the G/L Transaction History screen.

    In order to see the account balance, you have to switch to the Account History Inquiry screen. Instead, the balance should be displayed on the Transaction History ...
  • Votes

    23

    Improve Period selection options on G/L Transaction History screen.

    When using the Transaction History Screen, I would want the ability to see the transactions for only a specific period or range of periods. Currently, if you select a ...
  • Planned

    7

    AR/AP to CRM Integration - Blank contact deletes CRM Person - BAD!

    If you blank out the AR Contact under an AR Customer, it deletes the Person record in CRM marked as the A/R contact. Furthermore it first blanks there first name and last ...
  • Votes

    4

    Add copy ability to account permission form

    THe account permissions form can be quite tedious to use when adding the same permissions to many different users. If it was possible to have a template that could be ...
  • Votes

    1

    Add document type adjustment to AR Customer Transaction Report

    When printing the A/R customer Transactions Report, you can select transaction types for invoices, credit notes, unapplied cash, receipts, debit notes, interest, ...
  • Votes

    11

    national account - Credit Limit to reside at National Account record

    Is it possible to have the credit limit for all of the customers attached to this national account to reside at the national account level. This will then allow each of ...
  • Votes

    1

    In the Visual Process Flow for AR and AP, there is no post function ...

    The new Visual Proces Flow does not have a function for the posting of: AR Cash Receipts or Invoices AP Cash Disbursements or Invoices. Have to use the old ...
  • Votes

    3

    multiple payment schedules

    When creating mulitple payment schedules, it would nice to have included a choice of date of current month, not just date from day of next month.
  • Votes

    7

    Bank Entry: instead of no detail reference or description give us ...

    We post bank entries daily. Each is for an individual transaction in one of many bank accounts. The CFO and owner must have a reference and description in the transaction ...
  • Votes

    1

    Bank Transfers - allow exchange gains as well as service charges when ...

    We do not use multicurrency accounting. Our company simply maintains separate bank accounts for US and Canadian dollar transactions. Periodically however the company ...
  • Votes

    4

    no default bank in AR

    it would be great to have no default bank in AR options, thus allowing one to choose the Bank to deposit to for each bank deposit transaction.
  • Votes

    2

    Statement Invoices for Sage ERP 300 (Accpac)

    We have in the past done this by doing a series of views and then link them together via reports but there must be a better way! We get this requirement now all the time ...