• Votes

    3

    AR Customer Totals table - have a total of written off and bad debt ...

    It's great to see who we have billed and paid. But really we need to see who and the total we've written off or put as bad debt. This is true for all your customers, ...
  • Votes

    3

    Let us enter Budget Modifications without entering Change Orders

    We need to modify the original estimate and Contract Item via a "Budget Modification". For example, we may want to move money from a contingency code to a specific cost ...
  • Votes

    4

    Allow non-numeric characters in Check # fields for non-check bank ...

    It is easier to separate non-check debits when doing your bank reconciliation if you can use letters in the Check # field (which for a non-check bank debit is a ...
  • Votes

    1

    RP Retainage Summary report is inaccurate and NEEDS to be fixed.

    It does not correctly display the balance of retainage in the AP application compared to the applicable GL account. But it's listed as the default report to use when ...
  • Votes

    1

    In AP Settings, under Accounting Date Usage, when you choose Invoice ...

    In AP Settings, under Accounting Date Usage, when you choose Invoice Date or Date Received, the Accounting Date column goes away altogether when entering invoices. There ...
  • Votes

    1

    In Contract Based Billing, the Preview and Print Draft options are ...

    The first invoice that I preview or print a draft of, takes way too long to preview or print. Please speed up this porcess.
  • Votes

    2

    The ability to change a GL account without having to make an entry

    The ability to change a GL account without having to make an entry would be far more efficient and not cause all the on and off line items in the GL.
  • Votes

    1

    Sage 300 CRE AP - Have Expense Allocation populate invoice ...

    Please have the descriptions for each line item in an Expense Allocation populate the respective description fields in the distribution breakdown of an invoice rather ...
  • Votes

    5

    Be able to run a vendor history as a general report option

    This should be a report under the payables function to be able to run a detail vendor history
  • Votes

    1

    Importing of GL Autoreversing Entries

    Provide a method to import GL Autoreversing entries. A common use is for the recording of Over/Under Billings each month.
  • Votes

    4

    Unapply accounts payable payments

    Provide ability to unapply payments in AP in the same manner that we do in AR
  • Votes

    1

    Add a second level of approval to AP vendor setup bank details tab

    The newish separate tab to update Vendor bank details is great, as you can restrict access to a small group of finance people to update them. This is very important to ...
  • Votes

    4

    In CM, allow access per bank account for Edit Register, Reconcile, ...

    Knowledgebase topic 37105 explains that in CM, "record level security" does not work as one would expect. Once we give an employee access to the Edit Register, Reconcile, ...
  • Votes

    2

    Need to be able to select All invoices with one click - like when ...

    When choosing invoices to pay in Select invoices for payment, I can condition the list by due date, and range it on vendor, then to choose all of those invoices, I simply ...
  • Votes

    1

    Add Last EFT and Last Credit Card to the Accounts Payable vendor ...

    Currently the Current balance tab on the Vendor Setup includes the Last Invoice and Last Check information but does not include Last EFT or Last Credit Card Payment. To ...
  • Votes

    1

    In Accounts Payable, when setting up a Recurring invoice, let us press ...

    Since we enter the Principal, Interest %, and number of payments when setting up a recurring invoice, it would be great if the system could calculate the principal & ...
  • Votes

    2

    Only show current period transactions in bank reconciliation

    When you do a bank recon, you can see all transactions that are posted to GL, even though they are in a future period. There should be an option to only see transactions ...
  • Votes

    1

    I was given a report in 2001 CM Cash Book Per Bank it is a GREAT ...

    in design notes: "The purpose of this report is to show each cash transaction and associated details, as well as a running cash balance." In spreadsheet format.
  • Votes

    1

    Diverse Spending Tracking

    Provide location in vendor information to track Diverse Business Enterprise and certification information. Further provide reporting that shows spending for current ...
  • Votes

    2

    Taxes do not calculate in Enter Quick Bill

    Resolve issue with taxes not calculating in 'Enter Quick Bill' but shows up in AR correctly.