• Votes

    4

    EFT Remittance Business Form

    Provide a business form to be used as a choice for designing a EFT Remittance document. Right now the check forms are provided as options, but the information required ...
  • Votes

    4

    Create an option to select all batches at once when posting CM batch ...

    Create an option to select all batches at once when posting CM batch entries. IFor example, if I enter 100 bank transactions in one day, when its time to post CM batches ...
  • Votes

    4

    Enhance auto-populate GL account in AP Process Voucher for faster ...

    When entering a voucher line without an item in AP-Process Vouchers, allow the GL account to default from the Maintain Vendor Defaults tab EVEN IF THE ITEM DESCRIPTION ...
  • Votes

    4

    Import Bank Daily Activity

    In MASS 500, in the CM, I would like to take the daily bank activity from excel and import into Process Bank Transactions. I would still like the option to edit the ...
  • Votes

    4

    Add Tax Exemption Validity/Expiry Date

    Under maintain customer, tax exemption, there needs to be a validity and/or expiry date columns in the grid. Some tax authorities in the USA require the exemptions to be ...
  • Votes

    4

    Integrate Sales Orders with Project Accounting

    Would like to be able to tag a Sales Order to Project, Phase, Task, Cost Classification so that the cost of the items shipped would automatically go into project WIP and ...
  • Votes

    4

    Add Project Accounting related data to the Copy Purchase Order feature

    Currently use of the Copy Purchase Order task does not include Project Accounting data. Project related information on both the Line Defaults and Lines tabs must be ...
  • Votes

    4

    Allow intercompany Project Accounting transactions in AP

    There are times when one project in a company is utilized by another company in MAS 500. A nice enhancement to MAS 500 would allow the use of another company's project ...
  • Votes

    4

    Add the PO number and Receiver to the view/edit voucher screen. ...

    When you key an AP Voucher that is associated with a PO the PO number should populate onto the AP view/edit screen. Currently the field is blank. In speaking with the ...
  • Votes

    4

    Allow for items to be excluded from terms discount calcuation.

    Currently we have items that have to be placed on their own sales order just so that we can have no terms discount on the invoice. Would like to have one invoice per ...
  • Votes

    4

    Ability to overwrite existing budget in Data Import Manager import

    Currently once a budget is loaded for a year DIM will not allow the budget to be re-imported or overwritten. Budget changes are common & manually updating the budget ...
  • Votes

    3

    Need ability to Freeze/Lock the GL

    At a certain point in our month end close(when financial statements are created), entries to the General Ledger are cut off. If an entry is appropriate at this point, ...
  • Votes

    3

    Add filter by Bill To Address on Customer Statement

    On same customer code, there are times customer requests different Bill to addresses. Since we get to choose any address for 1 customer code, we should be able to filter ...
  • Votes

    3

    Need to document recent revisions to Multicurrency processing

    In recent versions of MAS500, Sage has revised how MAS500 processes Multicurrency transactions - eg, there are now transactions that have postings in either the Natural ...
  • Votes

    3

    Automatically populate the line comment on an AP Voucher from the ...

    If you enter a header comment on an AP voucher it would be nice to have this comment be used as the default comment on the lines. Currently, if you enter a header ...
  • Votes

    3

    Allow Process AP-AR invoce settlement to be used with 0 or negative ...

    Currently you can only process if there is a positive ballance on the AP vendor. Since it creates a new record we should be able to process even if there isnt a positive ...
  • Votes

    3

    Prevent Generation of duplicate Recurring Vouchers

    In AP, if you have setup a Recurring Voucher on a montly cycle, then generate and post that voucher, the system will allow you to choose that cycle and voucher and ...
  • Votes

    3

    CM Reconcile Bank statement

    CM reconcile bank statement. Should allow you to click on the amount to clear the item, and/or highlight the whole line when you select it. The amount column is not ...
  • Votes

    3

    When EFT transaction numbers are generated, it should be based upon ...

    When EFT transaction numbers are generated, it should be based upon the cash account, not on the companyID.
  • Votes

    3

    Enter Cash Receipts Invoice number tab sequence

    In 7.2 in enter Cash Receipts the field on the application tab where you enter the invoice number being paid use to automatically clear after you click the OK button. In ...