• Votes

    3

    AR Clear Fully Paid Documents - Inactive Customers Only

    Accounting departments are already overworked, therefore it is important to help them be more efficient without jeopardizing valuable information. Most managers do not ...
  • Votes

    2

    Correct OFX reconciliation for bank entries

    When a user clicks the “Bank Entry” icon to reconcile an imported ofx transaction, she receives an error indicating that the transaction already exist, when it clearly ...
  • Votes

    19

    Bank Services running extremely slow. Version 6.0

    Its taking almost a minute since I click on the Reconcile Statements Icon to open. Also in the Reconciliation Tab, if you scroll to the end of the transactions, it ...
  • Votes

    3

    Bank Services should allow for multiple users to post entries at the ...

    Currently in V5.6 only one user can access the post entry screen at a time. We have 400 bank accounts and 75 users trying to capture bank entries. I'm sure you can ...
  • 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

    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

    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

    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

    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

    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

    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

    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

    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

    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

    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

    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

    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

    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

    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

    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 ...