• Votes

    94

    Look up customer check info

    to have the ability to lookup (or click on) a customer's check number and see what all was paid/deducted on that check.
  • Votes

    28

    Lengthen account description field

    The account description field should be lengthened to accomodate fully descriptive titles. This needs to be done in Account Maintenace and Main Account Maintenance. ...
  • Votes

    35

    Multi Currency option

    Add functionality for Multi Currency option
  • Votes

    35

    Make it possible to drill down to the invoices entered or journal ...

    This is needed in FRX to drill down to the detail level. Even quickbooks does this. You should be able to do this in MAS 90
  • Votes

    60

    Bank Recon Module - Add ability to enter transfer between bank codes

    Thanks for adding the ability to post to the GL from the Bank Rec. Great improvement!!! Please add transfer to the list of transaction types so it is easier to post ...
  • Votes

    61

    Retain Vendor Remit To in Check/Payment History

    If changing a Remit To in Manual Check Printing, this change is not retained in Check or Payment History. MAS will reflect the original vendor information not what was ...
  • 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

    2

    Average Days to Pay Calculation

    Does anyone know what the Sage100 default calculation is for the Average Days to Pay under Customer Maintenance? Also, is there a way to refine that to look at only the ...
  • Votes

    38

    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

    23

    Better accounting for vendor deposits

    Provide better accounting for vendor so that prepayments show in the vendor's account instead of just being posted to a general ledger account. 1) Be able to write a ...
  • Votes

    23

    Apply a vendor's credit memo directly to a payable when entering.

    I'd like to see the same ability in a/p as we have in a/r. When entering a vendor's credit memo allow us to select an open invoice to apply it to.
  • Votes

    31

    Make the GL Transaction Journal Entry Program More Intuitive and ...

    This program is one of the most non-intuitive, difficult programs to use in all of MAS90. It should not be so painful/confusing to transfer funds from one bank account ...
  • 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

    4

    AP NOF Check Reversal where Open Invoices no longer exist causing out ...

    Client generates large volume of refund AP checks and some of them are never cashed. When trying to clean up the uncashed checks and the invoices are beyond the 'days to ...
  • Votes

    4

    Ability to import transaction journal entries

    It would be nice to have the ability to import transaction journal entries, similar to the GL Exchange to import General Journal Entries. It takes me a long time every ...
  • Votes

    13

    import wire transfers into Manual Check Entry

    Unable to have a system generated number when using Visual Integrator to import Wire Transfers into Manual Check Entry. The Next operation only works if the Check Type ...
  • 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

    22

    Allow access to A/R invoices to adjust due date

    At times we find we must allow additional dating on an invoice that is already posted. I would like to be able to adjust the due date so my cash projections are more ...
  • Votes

    10

    Add field for posting date to the AP & PO invoice entry

    If I am entering a batch of invoices for current month and past month, I should not have to manually separate them into 2 batches and remember to enter and post them ...
  • Votes

    12

    Add cash receipts journal posting date

    It would be really nice if when posting the Cash Receipts Journal, that you could enter the date in which you want to post the cash receipt and not just assume the ...