• Votes

    5

    Improve Manual matching process when invoices are partially paid

    Manual matching issues with lower case letters for all items included in payment when one invoice is not fully paid. The matching process must be improved because ...
  • Votes

    2

    Fixed asset is too complex in terminology and functionality

    Some have a requirement where they just want to buy and depreciate, simple as that. The solution in V5 works fine and in V6 the features became too complicated. ...
  • Votes

    15

    Add Bank statement import that is integrated with the Bank Statement ...

    Allow the import of a bank statement and provide matching criteria (check number, amount, etc). Automatically select matched items and provide mechanism for reviewing / ...
  • Votes

    6

    Add the ability to process Supplier Payments by ACH / AFT file

    The system generated file extract can then be submitted to any bank institution as a form of a check payment. The file will contain information specifically needed for ...
  • Votes

    4

    Allow GL budgets at the natural account level (without dimensions)

    Allow GL budgets to be entered at the account level. Currently an error message is received that at least one dimension type must be entered. Requested at the ...
  • Votes

    4

    Ability to print BP invoice number on the Payment proposal report & ...

    We currently print the payment proposal and double check the vendor invoices to make sure the amount entered into Sage is correct before we run the checks. But the ...
  • Votes

    1

    Pay-to needs to be changeable in Purchase Invoice just like we can do ...

    The ability to change the pay-to currently exists in the Supplier Invoice after posting, which works great when we switch a vendor to another vendor such as a credit card ...
  • Votes

    1

    To be able to use negative figues on the line item of Sales Quotes, ...

    To be able to enter negative figures on line items for Sales Quote, Orders and Invoices. For example if the customer is providing customer-owned materials and receives a ...
  • Votes

    8

    Select All Button in Manual Matching (LETTRAGE)

    When performing manual matching on a GL account it would make the process much easier if a button was made available to select all line items in the window. This would ...
  • Votes

    5

    Update the 1099 Tax Form (1099MISC) to reflect corrections and voids

    On the 1099 tax form there is a box that can be checked to indicate if the form has been reprinted due to a void or correction. In the event that a change has been made ...
  • Votes

    6

    AP Misc Supplier Invoices to pass company name and address to the ...

    On the supplier record, you have the ability to setup a Misc. Supplier for AD-Hoc purchases and AP supplier Invoices. IN the AP Supplier Invoice function, you can add ...
  • Votes

    4

    GLGRP report needs to report for the fiscal period, rather than by the ...

    When running the GLGRP report by "total by month", it needs to report for the fiscal period rather than by the calendar month. It currently does not do this, nor does it ...
  • Votes

    7

    New FDE report that will present 12 columns

    The current TXSVAL, TXSVAL2 and TXSVAL3 reports present 4, 8 and 8 columns of data respectively. It would be nice to have a TXSVAL4 report created that will present 12 ...
  • Votes

    3

    Customer Credit Profile Crystal Report

    It would be helpful when evaluating a customer's credit standing if a crystal report could be printed that would communicate the following information... Customer Name ...
  • Votes

    2

    New Local Menu to Denote Credit Risk of a Customer

    It is a common business practice for credit managers to assign a risk status associated with a customer. It would be helpful if a new local menu was added to the credit ...
  • Votes

    7

    New Parameter for WIP Finalization to be dated on the Work Order Close ...

    Presently when a work order is finalized the adjustment transactions are dated to the last tracking date on the work order. A nice enhancement would be a parameter that ...
  • Votes

    3

    Update of Cost Price on Sales Documents

    Presently when a sales order is created a "Cost Price" is written onto the sales order line. This cost price is a reflection of the margin basis (per the valuation ...
  • Votes

    16

    Automatic Matching of Zero Dollar Invoices

    I have many customers that ship samples to their customers free of charge. These sample orders are oftentimes processed like a stanard sales order in that they are ...
  • Votes

    8

    Manual Matching Across Business Partners (LETTRAGE)

    There are situations where multiple "bill to" customer accounts correspond to a single "pay to" customer account. There are times when a balance on the "pay to" accounts ...
  • Votes

    4

    High Credit Metrics - Captured in Customer's Risk Analysis

    When running the Risk Analysis option from the customer master file it would be nice if the high credit amount was kept in the Statistics section on the Last Operation ...