• Votes

    15

    Bank Reconciliation for AR to remove grouping of cheques by Deposit ...

    Bank Reconciliation for AR to remove grouping of cheques by Deposit number. As not all cheques in a batch gets cleared at the same time.
  • Votes

    15

    Better integration of optional fields

    The way that the optional fields are currently organized (in seperate tables ending with an "O") makes them almost useless for reporting purposes. The only way to report ...
  • Planned

    14

    Accpac - Custom Screen Validation/Table Level Scripts. Similar to Sage ...

    Allow us to add code somewhere that would check data entered by the user. If it didn't pass our custom validation script we could stop the Save action. For example, I ...
  • Votes

    14

    Apply cost centre overrides to workers compensation like other ...

    Workers Compensation costs are significant. Previously we used a benefit to cost them. With the introduction of payroll v7.0 workers compensation is automatically ...
  • Votes

    14

    Stop posting AR Receipts, if it's over applied

    Need to an option in A/R Setup. If overapplied want to show Warning or Error. Right now, Sage showing warning message and accepts the postings making issue with ...
  • Votes

    14

    Bank Reconciliation & reversed checks

    Currently, if a transaction is reversed in a future period, it is included in the outstanding totals on the summary tab of the bank rec, but it doesn't appear on the ...
  • Votes

    14

    Allow quantity in GL Account Budgets

    If Maintain Quantities is enabled in GL Options, the user should be able to specify a quantity in addition to amount in Budget Maintenance and Comparison. This would ...
  • Votes

    14

    Autonumbering PJC

    In PJC you should be able to have a segment as autonumbering so that if contract is made up of multiple segment codes you end up with ABC-XX-0001 and the next contract ...
  • Votes

    14

    Have an International English language overlay for Accpac

    I'm sure this would be so easy to do - it would require the translation of ~ a half dozen words at most and remove the psychological objection to purchasing the software ...
  • Votes

    14

    OE: Separate screen for Sales return and CRN, to have similar ...

    To allow 2 separate screen for Sales return and CRN, to allow greater flexibility for the date of CRN and goods return to inventory. We have a function like this in PO ...
  • Votes

    14

    Display the invoice due date on the document tab during accounts ...

    Instead of having to tab to the terms to see if the due date is correct, it would be wonderful to have the due date displayed on the document tab just below the document ...
  • Votes

    14

    PO Receipts and OE Shipments: Zero Shipped

    Problem: Large OE Orders, say 600 lines. Many shipments overtime. Each shipment will inherit the lines from the Order Only ship a few each shipment. The shipment (and ...
  • Votes

    14

    Sort out the tax implications on A/P & A/R prompt payment discounts

    When you apply a discount based on the terms codes in A/P & A/R it messes up the tax amounts. Well it does in NZ anyway so can only imagine that it will do it for ...
  • Votes

    14

    Statutory Holiday Pay Calculation.

    This issue is admittedly somewhat complex, and would be challenging to solve due to the number of variables – but some HR systems do handle this. What complicates things ...
  • Votes

    14

    POP-UP VENDOR NOTES IN A/P

    referencing my case# 8004767161 -- which was cancelled, by Sage, without me receiving a single email response or phone call. =^( When we went LIVE with Sage 300ERP in ...
  • Votes

    14

    Ap Miscellaneous cheques: Distribution sets

    Whilst there are distibution codes in AP misc payments, there is no Distribution sets.. This would be useful for petty cash disbursements
  • Votes

    14

    In GL "View transaction history" - the transactions should be able to ...

    In GL "View transaction history" - the transactions should be able to toggle based on date sequence. Management would then be able to see transactions listed by date ...
  • Votes

    14

    view any user's last log in date

    We have a large number of users and sometimes it happens that a user no longer has a finance position but noone ever informs me to remove their access. I like to do a ...
  • Votes

    14

    Purchase order user licences

    Create user licences for Purchase Orders, like Time-card users, so managers all over the organization can issue and approve purchase orders without requiring Lanpaks.
  • Votes

    14

    Allow passing of the current Accpac user ID to crystal reports.

    Allow passing of the current user ID to crystal reports. A standard parameter eg USERID could be added to the print function. Allows reports to be easily customised for ...