• Votes

    39

    Retain General Journal and Transaction Journal memos and attachments ...

    Retain memos and attachments after updating the General Journal or Transaction Journal update so they are viewable in Journal Drill Down screens.
  • Votes

    11

    Credit Card Transaction Feed

    It would be beneficial to have a credit card transaction feed like bank feed. Where you can link your credit card to Sage and the transactions feed into a credit card ...
  • Votes

    13

    Show credit balance invoices in A/P Invoice Payment Selection

    In version 4.x, credit balance invoices would display in Invoice Payment Selection, allowing the user to apply a credit when selecting multiple invoices for payment. In ...
  • Votes

    40

    Bank reconciliation adjustments should show as negative for ...

    When on the deposits/adjustments tab in bank reconciliation. Deposits show as positive amounts (they increase the bank balance), however an adjustment that shows a ...
  • Votes

    32

    Would like the ability to have more than 36 bank codes

    Many businesses use separate bank accounts for functions and require more than 36 Bank Codes. Currently are limited to A through Z and 0 though 9 (total of 36 ...
  • Votes

    26

    Reconcile Bank Rec to General ledger

    Reconcile bank reconciliation to General ledger as well as to the Bank Statement
  • Votes

    10

    User security per bank code

    Be able to turn on security per bank code so certain users can see only certain banks in Bank Rec.
  • Votes

    97

    General journal entries should update bank reconciliation

    Sage should enhance the regular journal entry so that WHENEVER an entry is posted to a cash account it also rights a record to bank recon (QuickBooks does!). You should ...
  • Votes

    17

    You should NOT be able to Void a Check that has already been cleared ...

    On multiple occasions, I have cleared checks in the Bank Rec Module, and following that, the AP clerk voids the check in the system. THIS SHOULD NOT BE ABLE TO HAPPEN! ...
  • Votes

    208

    When voiding an AP check and NOT recalling invoice automatically pull ...

    NOT recalling the invoice for payment is in effect voiding the invoice, would simplify process if invoices GL distribution pulled in for us.
  • Votes

    13

    The ability to move a posted AR Invoice from one Customer to Another

    During new employee training, there is an occasional error of creating an invoice in an incorrect Customer and then it is Posted to incorrect Customer. We then have to ...
  • Votes

    17

    "Clear all checks" feature in Bank Rec

    Please add a feature which allows the user to clear all checks with one button. Currently you have to manually uncheck each box which is time-consuming when you have over ...
  • Votes

    5

    Transfer multiple invoices from one batch to another in S/O Data Entry

    Have the ability to transfer multiple invoices from one batch to another batch within S/O Data Entry. Perhaps checkboxes to choose which you'd like to transfer from one ...
  • Votes

    35

    GL balance sheet trend like Income statment trend. Bring it back

    I recall MAS 3.7 having a balance sheet trend report. That is useful for tracking trends.
  • Votes

    15

    Add ability to prevent mismatched invoice and transaction dates for ...

    One of the most common problems people have is when they record an invoice with a date of 2/5/17 and post it to the general ledger on 1/31/17. In a/r this results in an ...
  • Votes

    14

    Automatically assign posting transaction date to Manual Checks.

    In the same way that Cash Receipts are automatically assigned a Transaction Date based on their Deposit Date, Manual Checks Transaction Dates should be based on their ...
  • Votes

    12

    Don't print leading zeros on checks for the check number in Accounts ...

    Have the ability to eliminate the leading zeros from printing on the check.
  • Votes

    58

    Bank Rec - Date consistency.

    Either add an option to keep g/l posting dates and check dates within the same month OR make bank rec reports able to select by the g/l posting dates as well as the ...
  • Votes

    19

    Accounts Payable Prepayments

    Provide better accounting for vendor so that prepayments show in the vendor's account. Currently, it only shows up under the GL account. When you look under the vendor, ...
  • Votes

    9

    Add ability to print a deposit slip for cash receipts that can be ...

    To improve accuracy and speed up the process of making a deposit of cash receipts at the bank, it would be great to be able to print a deposit slip with all the checks ...