• Votes

    17

    AR apply documents allow all document types

    When applying documents eg applying unapplied cash, it is such a shortcoming that only invoices show. Unapplied cash needs to be applied to invoices and credit notes and ...
  • Votes

    4

    Tax Services - Expense GL account segment override in Accounts Payable

    All Non-Profits (government agencies) in Canada have to expense 50% of their GST and many of them have to allocate that cost to the GST account for each of the funds (gl ...
  • 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

    3

    GL Inquiry Function needed. Similar to Payment Inquiry in AP.

    With drill down capability to source documents.
  • Votes

    30

    Adding additional reference to posted GL transactions

    It would be nice especially when reviewing the GL details, to have the ability to add additional notes / comments to transactions already posted on the GL side. Many ...
  • Votes

    4

    optional field for GL Segments

    Can we create optinal field in GL account segment code.? The purpose is to identify GL segment by manager so that financial statements or GL reports can be created by ...
  • Votes

    7

    GL reallocation by fiscal period

    When the reallocation function is run for balances only, it takes the current balance and distributes it, which can be a real problem when adjustments have to be made to ...
  • Votes

    5

    Create Payment Batch using 'ENTEREDBY'

    We have a client who wants to create payment batches for each AP staff member. With 5.6 now having an 'ENTEREDBY' field, can a 'from-to' (or similar) be added as one of ...
  • Votes

    45

    ACCPAC ERP 5.6: Bank Entries / GL Integration

    ACCPAC ERP 5.6: Bank Entries / GL Integration: On the GL Entry Line for the cash account being effected, the Detail Reference, Description, and comments are not populated ...
  • Votes

    26

    Improve AR Inquiry

    1) Add Outstanding Balance to top of screen - so it's always visible, no matter what tab is selected. 2) Improve load time of form. It is currently much slower than the ...
  • Votes

    7

    Selective pick retainage documents for AR and AP from a customer or ...

    It happens especially in construction or contractual business. Typically, the supplier will invoice a huge sum of say $100K, and this involves many retainage documents. ...
  • Votes

    9

    AR Refunds vs AR Checks

    AR v6.5. AR Refunds is a very nice feature, BUT you are forced to apply the check to an existing document, assuming it is a refund against some document. This should be ...
  • Votes

    23

    Enhanced Optional Field Reporting

    One of the good features of Optional Fields is to create things like Project Codes for G/L Accounts. So instead of blowing out your Chart of Accounts for something that ...
  • Votes

    11

    Bank Reconciliation - Quick Clearing

    Currently in 5.6 when you quick clear entries you only have a from and to range for withdrawal number. When you generate and process EFT payments in A/P you define it ...
  • Votes

    5

    GL Consolidations - Tighter Integration Between GL & Setup

    Currently you have the Accpac GL and you have G/L Consolidations which is like a bit on the side. For example in a child company if you add a new GL Account you need to ...
  • Votes

    12

    Intercompany Receivables

    There is no Intercompany Receivables Function in the system. Quite often Companies that have a parent / child relationship want to be able to generate an Invoice in ...
  • Votes

    8

    Intercompany Bank Reconciliation

    Clients who use Intercompany Transactions often require to transfer money from Company A to Company B. This should be a feature in Intercompany Transactions that creates ...
  • Votes

    21

    Bank Reconciliation - Post Payroll EFT transactions as a lump sum

    Currently, each employee EFT is posted to Bank Rec separately, but our bank posts the EFT withdrawal as a lump sum. Reconciling to the individual entries Payroll posts ...
  • Votes

    12

    Cheque Reversals should have its own document

    When Customer Cheques or Vendor Payments, ACCPAC just offsets the invoice and puts the Reverse flag on the receipt/payment. This makes reconciliation using AR Customer ...
  • Votes

    13

    Customer & vendor transaction reports to be modified

    ACCPAC 5.5 onwards Accpac allows changing the account set at the transaction level, but when you run Vendor & customer transaction reports(when sorted by Account set) ...