• Votes

    20

    Enhanced Cheque number (check number)

    Can we have the ability to enter Alphanumeric cheque numbers in AP for manually keyed (not auto generated) cheque numbers. It would be useful to be able to specify a ...
  • Votes

    12

    AR Refine Customer Security options

    Customer Maintenance needs 3 separate security options: - Maintain name and address-type information - Maintain accounting information (Processing tab, Invoicing tab, ...
  • Votes

    7

    Cluster Account

    Would like to have cluster account For GL COA compare to create one Account for each department/division or any segment. Currently if we have lots of segment there will ...
  • Votes

    18

    Bank reconciliation - Allow sales tax group on bank entries

    Presently only purchase tax groups can be selected against a bank entry. Would like to be able to select sales tax groups, if the entry is income.
  • Votes

    10

    Vendor Activity transactions tab does not show reversed checks even ...

    If you add up the transactions of the transactions tab it will not equal the balance on the vendor if there were reversed checks.
  • Votes

    6

    Bank Reconciliation Entry - needs to allow for line level exchange ...

    In a multicurrency company, where many foreign currency transactions are entered through bank entries, it is required that a spot rate be entered at the line level rather ...
  • Votes

    29

    Link AR Customer to/from AP Vendor

    Frequently customers entered into AR need to be an AP vendor as well. You have to create and maintain them separately now. So if address changes, you have to change in ...
  • Votes

    11

    Create new customers from receipt entry

    Put a "new customer" button in receipt entry just like the one in the invoice entry screen. I quite often receive payments from customers that I enter as unapplied or ...
  • Votes

    138

    Vendor Refunds

    It would be very useful to have AP vendor refund functionality so that it would be possible to see when an amount had been refunded by the vendor - this is not the case ...
  • Votes

    28

    bank reconciliation post from reconciliation screen

    From the bank reconciliation screen it would be nice to have a post button at the bottom of the screen so that when you have completed your bank rec you can post it ...
  • Votes

    61

    Bring over Bank Entry (Header) Description to posted GL Detail ...

    When posting a Bank Entry in 5.6, there are no GL Integration settings which specify ** for the Cash account ** to which the bank entry is being posted, how the GL Detail ...
  • Votes

    2

    Show/Print Total of each Payment Type for AR Receipt Batches

    To help with reconcilation of of cash daily it would be useful if the AR Receipt batch would give you a total you could print for each payment type. That way you could ...
  • Votes

    5

    Transfer deposits to bank reconciliation by Payment Type rather then ...

    Currently an AR Reciept batch transfers to bank as one deposit although it contains different payment types. Since credit card deposits do not necessarily clear on the ...
  • Votes

    17

    option to choose current year for DIC

    We would like to see an option with Data Integrity Check to choose to run diagnostics on only the current year and not all prior years.
  • Votes

    6

    recurring transactions for intercompany transactions

    Recurring transactions is standard in G/L and A/P. Can we please have this functionality added to intercompany transactions so you can have recurring transactions in ...
  • Votes

    3

    optional fields for distribution codes

    when you create a distribution code\set in a/p there is no ability to link an optional field code to the g/l account. If the client has setup optional fields on a G/L ...
  • Votes

    5

    Increase Check number length to 12.

    At this moment, it caters up to 9 numeric codes. In countries like Philippines, they required 10-12 characters.
  • Votes

    27

    Bank Reconciliation v 5.6 - entry date

    The default date for a bank entry should default to the statement date or the reconciliation date, not to the date entered on the Accpac opening screen. Users are ...
  • Votes

    29

    Provisional posting information on Transaction Listing

    We would like the option to include figures that was posted provisionally to appear on the GL transaction listing report. Sometimes users would like to provisionally ...
  • Votes

    6

    hyphens in item number

    In previous version of Accpac - V5.4 and prior from memory you used to be able to have a hyphen a part of your item number. You can no longer do this and it is a real ...