• Votes

    13

    AR Customer Statements - show multiple payment schedule

    Would like to see invoices with multiple payment schedules shown on customer statements by due date instead of one lump sum. You can view the invoice payment schedule in ...
  • Votes

    6

    Provide 1099's for interest paid for the US clients

    Currently the the Accounts Payable 1099 information and form does not support Interest. Some clients need to reports interest on 1099's.
  • Votes

    22

    OFX bank rec - Client cannot download in OFX format from several banks

    OFX bank rec - Sage should provide OFX file converters for clients - it's not fair to them that the download capability is there in the accpac program yet they cannot use ...
  • Votes

    3

    Have the IC manufacturer's item number auto populate the manuf. item ...

    Have the manufacturer's item number auto populate the manuf. item number field in OE Order Entry screens.
  • Votes

    12

    Document Numbering series for AR Misc. Receipts

    There should be a separate Document Numbering series for AR Misc. Receipts instead of following the same series of AR Invoice
  • Votes

    8

    In IC Items Description if the lenght of 60 characters could be ...

    Extend the 60 digits field of the IC Item description
  • Votes

    14

    It would be great to have Optional Fields for Bank Transactions

    Optional fields are a great distinction in Accpac. They are so useful. It would be fery helpful to have this functionality available for bank transactions
  • Votes

    2

    Quick entry feature for A/P and A/R summary invoice entries

    Similar to the quick entry feature in G/L, a feature to duplicate successive detail lines would save time when the end-user needs to split invoices among several G/L ...
  • Votes

    18

    A/R Deposit Date

    Prompt User for A/R Deposit Date when pressing the deposit button or make it more predominant in the reciept entry screen. In 5.6 the deposit date that adversly affects a ...
  • Votes

    6

    Adding Optional Fields

    When you add a new optional field that is required on all G\L Accounts it is a difficult and time consuming process to achieve. Users have to either manually add the new ...
  • Votes

    7

    Print AP 1099s by type

    AP 1099's: The ability to print by type - for example, my client needs to print all 1099-MISC vendors together and then print all 1099s for dividends in a separate batch ...
  • Votes

    6

    Add a 1099 type for Dividends

    Create a new type for Dividends and a new spec file to go with it. The 1099-DIV is a separate. Dividend 1099s are printed in box 1a and 1b. This needs to be added to the ...
  • Votes

    5

    AR invoice discount

    We can print invoice in AR module but it cannot compute invoice discount. It only cater for receipt discount. For customers doing billings without inventory, price list, ...
  • Votes

    3

    Bank Entries - need to be able to see what posting sequence they are

    in the same way as you can see what posting sequence AP / AR batches get posted to. When trying to reprint bank entries - you don't know which posting sequence to ...
  • Votes

    3

    Have the ability to keep both the OFX reconciliation window and the ...

    According to my client they had this capability in version 5.2
  • Votes

    4

    allow macro recording in Bank

    Many Development Partners have difficulty with building add-ons for Bank Services due to the fact that there is no way to create Macros for it. Accpac enable Macro ...
  • Votes

    5

    AR negative recurring charge

    I need to create a recurring charge code with 1 or more detail lines where the net total may be negative.
  • Votes

    9

    Tax line descriptions in the general ledger

    Where an AP entry has one detail line, the detail description feeds to the tax account as well. However where there are multiple detail lines, the is no description in ...
  • Votes

    22

    Bank Services 5.6 - Transaction Date - HUGE ISSUE

    We currenty have our AR set to create a deposit when batch is created. The huge issue is that when a user saves the first entry with an erroneous date, that date is ...
  • Votes

    2

    post expense to different period than payment - manual or misc vendor ...

    it would be nice when positing manual cks to post the expense/ap trx to one period and the ap/cash trx to another