• Votes

    7

    Repetitive/Recurring invoices need an auto pop up reminder option

    Repetitive/Recurring invoices in both AP and AR need an auto pop up reminder option in the software that is generated when an AP/AR user with security access to those ...
  • Votes

    11

    Credit Holds - Exempt Box

    Please create a check box so that large sales volume customers with little maintenance are not placed on credit hold if they happen to go over the past due limits set in ...
  • Votes

    8

    Allow use of general ledger account numbers in VI import jobs instead ...

    When importing into GL General Journal, one must indicate the account key instead of the account number. This is counter-intuitive for the base MAS 90 or 200 user, who ...
  • Votes

    26

    MAS should not allow you to post and update out of balance journals in ...

    Feedback from several clients from several different industries: they have complained that it is way too easy to update and post out of balance journals in a module in ...
  • Votes

    9

    Allow the "Proceed" button from Invoice payment Selection to be hidden ...

    Our clients are constantly hitting the Proceed button by mistake. This happens sometimes after spending 10 minutes in the Selection screen, but human instinct and use of ...
  • Votes

    7

    Clients have requested the ability to remit ACH payments for payroll ...

    Clients have requested the ability to remit ACH payments for payroll deductions (i.e child support) to States. Apparently, there are extended specifications for ...
  • Votes

    15

    cash receipts duplicate check number is allowed

    There should be a warning when a user enters the same check number from a customer in cash receipts that had been entered prior in history. This would prevent a user from ...
  • Votes

    5

    Add 4th Date to Cash Requirements Report

    When I plan a month's cash payouts, I have to run this report twice because most months have 4 weeks and some 5 weeks.
  • Votes

    3

    Confusion over Daily Transaction Register only updating distributions ...

    Since the Daily Transaction Register will now only update distributions for the specific register that was just updated, some verbiage on the screen that indicates which ...
  • Votes

    3

    AP: Complex Pay Discounts

    Our vendors give terms like Net 30 15% Net 45 10% Net 60 There is no way for mas to handel more than 1 discount.
  • Votes

    1

    remove "intelligence" from dollar input fields

    When inputting numbers in value fields (AP, AR, GL) there is some "intelligence" that assumes where the decimal point was intended to be. If one needs to correct the ...
  • Votes

    4

    Ability to print mailing envelopes or labes from Vendor and Customer ...

    From the Vendor or Customer maintenance screens, it would be great if there were an option/button to print an envelope.
  • Votes

    9

    National Accounts & Sold To Customers

    I'm utilizing the National Account feature (thank you Sage for hearing our cries); This new feature has enabled us to perform cash receipts much faster as a result. We ...
  • Votes

    7

    Vendor payments made by credit card transfer should not increase 1099 ...

    Per IRS regs. Credit card company's issue a 1099 for this already.
  • Votes

    12

    Positive Pay export file does not separate Vendor Address fields in ...

    Vendor Address Line 1, Line 2, Line 3, City, State and Zip Code are not available from Field Description list. Should have the ability to separate each of the Vendor ...
  • Votes

    3

    financial statements sorting

    PLEASE implement standard sorting on account numbers in financial statements. We bought this software in 2004 and was told this was being resolved. It's now 2012, 8 years ...
  • Votes

    5

    Ability to add UDF's to bank reconciliation transaction grids in order ...

    The ability could be used for other functions to allow notes by transactions
  • Votes

    5

    Add custom BI Report to Dashboard

    A simple dashboard report would show bank balances on the dashboard rather than having to open up bank reconciliation to look up the code. Management needs quick access ...
  • Votes

    14

    Add the ability to reconcile deposits as well as checks from a file

    You can now automatically reconcile checks in the Bank Rec module by uploading a file from the bank. Add the ability to reconcile deposits the same way matching the date ...
  • Votes

    2

    Allow reporting on expenses that include purchase orders entered but ...

    A financial statement that showed actual, actual plus committeed through purchase orders, and budget would be helpful.