• 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 ...
  • Votes

    4

    Include Transaction’s Account Sets on reports

    Since 5.6 Account sets are on detail of AP and AR, allow AR and AP reports ( like Aging ) to Select, Sort and/or Group by the Transaction’s Account Sets.
  • Votes

    9

    reverse job cost transactions when miscellaneous payments

    When an AP check is reversed, the corresponding PJC transactions need to be reversed at the same time.
  • Votes

    3

    General Ledger entries should carry to the Bank Reconciliations

    Since a bank reconciliation is reconciling the general ledger to the bank statement, being able to make a general ledger adjusting entry that does not appear in the bank ...
  • Votes

    3

    AP Terms - Input Specific Dates

    We would like to be able to input our own due dates, possibly with more than one date in a single month. So for both single payments and tables, we need more flexibility.
  • Votes

    2

    What happened to the report export to MS DOS Text? It is critical for ...

    Through V6.0 you could export reports to MS Dos Text format. It is now missing. Basic text format is critical for things like bank security files. It is desperately ...
  • Votes

    8

    Choose non-sequential account numbers for G/L Transactions Listing

    G/L Transactions Listing - user can choose non-sequential account numbers and the order in which s/he wishes those accounts to print. User can also save these choices as ...
  • Votes

    13

    Improve G/L Transaction History Form functionality

    G/L Transaction History Form - allow users viewing online transaction history the flexibility to do two things: 1) choose descending date/period order (i.e., most ...
  • Votes

    2

    Rounding off differences between OE/AR and IC/AP for foreign currency ...

    In Accpac 5.6 , if we use moving average cost calculation, sometimes samll different will happen between OE/AR or PO/AP GL posting journal, because of rounding. It should ...
  • Votes

    1

    Aged Cash Requirement Report (add payment code)

    Would it be possible to add the "Payment Code" as one of the selection criteria on this report ???
  • Votes

    8

    Assign a custom invoice form to a customer or customer group

    Sometimes you have more than one invoice form perhaps depending on the customer type or on the type of items you are invoicing out for. It would be nice if you had the ...
  • Votes

    7

    Print a GL Transactions listing for an account that shows 2 years of ...

    In the GL transactions listing report, a customer wants to view in one column the transactions for the current year for a specific GL account and in a second column, ...
  • Votes

    5

    GL Integration back the way it used to be, when you process subleger ...

    GL Integration to create just 1 batch instead of as many as were in subleger. Up through v.5.5 Create GL Batches in the sublegers would creare 1 batch for all Similar ...
  • Votes

    1

    A/P Payment Entry feature tha allows you to be able to use Other ...

    Same Other account option that AP Payment Entry allows you when enter a Payment Type Other will be a great feature at AR Deposit Entry.
  • Votes

    13

    AR recurring charges - Option to Re-Run the Recurring Charges

    Would like option to re-run the Recurring Charges. Currently, once the recurring charge is run the last date is greyed out so you cannot re-run these charges again for ...
  • Votes

    6

    bank transfers negative bank charge (v5.6, 6.0)

    I am entering a bank transfer between a CAD account and a USD account. I do not have multicurrency. I need to be able to put in a negative bank charge to my foreign ...
  • Votes

    5

    Column to display On Hold status of invoices in AP Vendor Activity ...

    You currently have to open the transaction to see if it is on hold. Would it not be better to see it on the main grid.
  • Votes

    40

    Multicurrency Customer

    We need to add multi currency customer feature, that mean we can define more than one currency to same customer like GL accounts.
  • Votes

    5

    Add TaxGroup field to the transaction records in TXAUDH/TXAUDD to ...

    Add TaxGroup field to the transaction records in TXAUDH/TXAUDD to facilitate more detailed tax tracking reporting.
  • Votes

    2

    Have ACCPAC require the postal code first and then have that ...

    In Mas90, their system actually requires the zip/postal code first, then auto completes the City and State fields. This is a great data-entry time-saver as well as a ...