• Votes

    7

    I/C Inventory Movement Report ( ICMVMT02 ) ID: IC4010

    Fix error in calculation logic for the Quantity Opening Balance. For an inventory item, changes in a Conversion rate for a particular Unit of measure are correctly ...
  • Votes

    3

    A\R Receipt \ Bank Rec Issue

    If when creating your A\R Receipt if the user happens to hit the ` key when they tab through the Check/Receipt No field and replace the system generated value of ...
  • Votes

    4

    Payment Selection Criteria Due on or Before

    When creating a payment selection code it would be nice to have an option to put in a formula for the Due On or Before date so it can be configured to be in a number of ...
  • Votes

    12

    Do not let unbalanced Journal Entries be flagged as Ready to Post

    Prohibit the changing of the ready to post flag from no to yes if the total debits in the batch do not equal the total credits.
  • Votes

    7

    Posted Bank Reconciliation Report on include Summary and all ...

    Posted Bank Reconciliation Report that has a Summary Page and ALL outstanding and cleared transactions for a specific month.
  • Votes

    4

    Ability to Record a Lost or Damaged Check

    If a check is misprinted and is not tied to vendor/invoice, would like the ability to enter the check number and reason for auditing purposes.
  • Votes

    3

    Print AP Check Advice to white paper

    Print advice details to blank paper rather than waste check paper.
  • Votes

    12

    Changing bank transaction type

    In a bank entry once a transaction type has been selected (Withdrawal or Deposit) and the transaction saved, it is impossible to change the type if one realises that an ...
  • Votes

    3

    Add Credit Approval in AR security like it works in OE security

    Add Credit Approval in AR security like it works in OE security. On Hold only gives a warning and people can still enter sales. Assign override password to create invoice ...
  • Votes

    2

    Allow GL Source Journal Report to Exclude Source Codes

    GL Source Journal is great, as is allows you to run reports for selected Source Codes. It would be nice if an "Exclude" options is added to the report, to run the ...
  • Votes

    5

    Segement Codes as Dropdowns in Transactions

    It would be nice to have All Segment Code seen as dropdown field in a transaction to allow users select them as and when it needed, just like Oracle Financial or ...
  • Votes

    7

    Drill Down from Bank Reconciliation

    ~When woring on a bank reconciliation it would be great to drill down to see what a transaction is If you have entered something as a bank entry it shows as TFR which ...
  • Votes

    2

    Filter option on AR Aged Trial Balance report

    Currently you can filter by customer number, customer group etc. Can you include another option customer balance so that we can be able to filter and display only ...
  • Votes

    1

    Retainage run for current posting date instead of original invoice ...

    When using AP periodic processing to create a retainage batch - all the entries come through with the original invoice date. In some cases they can be posting back to a ...
  • Votes

    18

    Ability to print out completed purchase orders without having to ...

    At times I need to print out completed PO's. Currently, once a PO is completed it can no longer be printed. Per the Sage City blog to accomplish this you need to design ...
  • Votes

    9

    AR Invoice entry - add optional fields to Quick Mode

    AR Invoicing Quick Mode - add support for copying Optional Fields at line level. Would be of great benefit to a number of clients, where detail level optional fields are ...
  • Votes

    13

    Ability to default AR summary invoices to Tax Included 'Yes'

    Clients using summary AR invoicing that don't need AR items have no way of defaulting the Tax Included to Yes. So for every line they have to access the detail and change ...
  • Votes

    3

    Add Prepaids module

    - having the abilty for Accpac to run and post your prepaids each month end (for expenses such as insurance, property taxes, maintenance agreements) - ie. entering an ...
  • Votes

    4

    Bank Account Default in AP Blank

    In A/P Payments, we use different bank accounts to pay different sort of invoices (US, CAN, etc). We would like it if the Bank Code that you enter at the beginning of ...
  • Votes

    8

    BANK REC PERFORMANCE is S L O W

    version 5.6, 6.0, 6.1 In a larger database with lots of activity, the bank reconciliation is terribly slow. Clearing individual checks is pretty click, but then Saving ...