• Votes

    1

    A/R + A/P offset

    We have a customer that we sell to and also purchase back from. We issue sales invoices to the company and they issue invoices payable by our company. Is there any ...
  • Votes

    6

    Modify Payment Term set up to allow 3 digit on the days control

    System currently only allows 2-digit days (99 days to be max) to calculate the payment due date. Terms with over 100 days can not be handled.
  • Votes

    12

    Decoupling Payment Terms and Payment Methods

    Currently in X3 the payment method is directly linked to the payment term. In this model it requires customers to setup multiple payment terms to correspond for each ...
  • Votes

    8

    Permanently close a company

    Provide an option to permanently close a company. Currently you have to open the fiscal year (and periods) for a company even if it is "closed" or "out of business" and ...
  • Votes

    4

    possibility of prepayment management on sales & purchase open orders

    possibility of prepayment management on sales & purchase open orders
  • Votes

    11

    Have the tunneling to accounting document through zoom on inventory ...

    Have the tunneling to accounting document through zoom on inventory document like other financial vouchers (invoices, credit note ,...)
  • Votes

    2

    Payment Category added to Payment Proposals

    Add an option to payment proposals for "Category" type. A category, can be created in the supplier table. Suppliers can be assigned to categories. If these categories ...
  • Votes

    3

    Parameter to control the number of lines allowed on a Journal Entry

    Please create a parameter to control the number of lines allowed on a journal entry import. There are a lot of steps for what should be a simple task to adjust the ...
  • Votes

    2

    Additional Parameter on the RNISQL SQL requester to include/exclude ...

    It is common for organizations that have multiple sites that those sites will buy and sell products between divisions. Oftentimes organizations will model the ...
  • Votes

    6

    Inter-Company JE import

    Please create a program and import/export template for the new inter-company JE function.
  • Votes

    5

    BP Financial Setup by Financial Sites

    On the Common Data BP screen you can designate different accounting fields by company (e.g., payment terms, accounting code, etc.). You can also designate a BP that ...
  • Votes

    4

    Effective date on standard cost calculation

    When running the standard cost calculation, it would be nice to be able to set an effective date to the result. The new standard cost would only be applied as of that ...
  • Votes

    1

    Average payment leadtime calculation definition

    In the Statistics box of the Last Operations tabe of th eCustomer situation Inquiry, there is a field called Avg. Payment Leadtime. Its calculation is hard-coded. The ...
  • Votes

    3

    1099 per site

    I need to run 1099 reports for each site, currently report does it by company combining all sites. This makes the report unusable for me. Please allow a site range to be ...
  • Votes

    2

    Modify the Sage ERP X3 to Sage Payment Solutions interface to pass ...

    Currently, X3 passes data to SPS via the VT web services. Ultimately, when a customer receives their credit card statement, the Sage ERP X3 sales order number is ...
  • Votes

    2

    Fix Sage Sales Tax interface to send only taxable sales order lines to ...

    Currently when a transaction (sales order, sales invoice) is sent to Avalara the whole transaction is sent and tax is calculated on the whole transaction amount. In some ...
  • Votes

    1

    Support for fund accounting for non-profit organizations and ...

    Suggested during the Influencing the Design session at Sage Summit 2013.
  • Votes

    7

    Automatic Journal rounding WIP and COGS

    The automatic journals for WIP and COGS postings need to be reviewed for rounding issues. They often require modification in the field to prevent errors.
  • Votes

    4

    Credit Limit/Control by Group Customer

    The ability to define a credit limit at the group level is desired. This move the limit and the control up a level when it is present. Checks will be performed based on ...
  • Votes

    2

    Need ability to process GL allocatations across main/natural account ...

    Ability to allocate across natural accounts, without dimensions. o From natural account to natural account o From natural account to account with dimensions o From ...