• Votes

    15

    AR Receipt Prepayment apply & reflect to Invoices

    Sometimes we ask client to prepay before any service is made. I received check, enter in AR Receipt as Prepayment and deposit the check. When service is done and make ...
  • Votes

    11

    CRM- Summary only reports

    To be able to build a report but ONLY show the summary results. i.e. I want to see the count of people in the state of Texas who are Customers. Now you have to display ...
  • Votes

    83

    All UI screens and a Report to indicate User IDs access

    All UI screens should indicate User IDs. Examples: Transaction last modified User ID, Batch/Entry creation by which User ID, Transaction entered by User ID etc. Many ...
  • Votes

    3

    Track Billing Hrs inside of CRM and to be able to report on it

    Why can't we do this?
  • Votes

    52

    OE Line Item Expected Ship Dates default to Today's date

    Most non-retail operations hardly ever ship an item on the same date as the Order Date. Yet that is the default for Accpac OE. We run several Custom Delivery reports, ...
  • Votes

    2

    Accpac HRMS 8.5 - re: Standard reports. Exported reports are not the ...

    This comment is for Accpac HRMS 8.5 and relating to standard reports (HR. It has become very frustrating that exported reports (in excel) are completely different from ...
  • Votes

    7

    Add Special Order And Non-Stock and Special order to the Product types ...

    There need to be more Choices in Product types to handle real world inventory
  • Votes

    2

    CHEQUE should be reverse sperately becuase if Bank Reconciliation not ...

    When I tried cheque reverse I have to wait bank reconsiliation finished then I can see my cheque reverse. But some time Bank may be not reconcilied then I can't post Bank ...
  • Votes

    21

    Correct User Errors...

    Accpac needs to include some provisions for being able to correct user errors. No matter how careful we are, we all make mistakes. Some can be pushed through, reversed, ...
  • Votes

    13

    Version 5.6A - Bank Rec - Having Adjusting Entries on a separate tab ...

    Version 5.6A has the bank adjusting entries on the same tab as the checks and deposits. It is more efficient to have the bak adjusting entries on a separate tab for ease ...
  • Planned

    16

    Additional Costs in PO

    When processing invoices in PO you can have an additional cost against the purchase order\receipt invoice - this works great on a singular level. EG One freight charge ...
  • Votes

    5

    Historically Update Item Cost

    At present if you use average cost and use the following example. PO for item 123 @ 10 per item. You order 10 items at a total po cost of $100 This PO is receipted - ...
  • Votes

    5

    exporting transactions

    Have the ability to put the Field Name as the Column Heading. For example if exporting customer records give the ability to export the headers as either the field name ...
  • Votes

    5

    Modify the drop down boxes for optional fields

    You can now select by and filter on the optional fields in virtually all of the reports and selection criteria etc The problem is that the select drop down is very ...
  • Votes

    6

    Allow contact details of persons who post to this forum to be shared ...

    This would allow solutions to issues raised to be shared outside of this forum.
  • Votes

    5

    ORDER ENTRY: Allow you to make a change to a posted invoice

    Right now, if you generate an invoice, it is finalized. In case there was an error with pricing or address or needed to made a change to the Bill To or Ship To address, ...
  • Votes

    4

    ORDER ENTRY: Allow you to email you orders, shipment confirmations, ...

    Currently, if you export/email an invoice, order, shipment confirmation, credit note, the template you are exporting or emailing does not appear exactly as what you ...
  • Votes

    9

    Shipment Entry: Allow modification of customer p/o.

    Recently upgraded to 5.5 version and you can no longer modify the purchase order number field in shipment entry before invoicing. We ship on consignment basis with a ...
  • Votes

    16

    Purchase Order/Order Entry Automatic backflush of PO

    When a PO is recieved that is related to a specific Sales Order it should allocate the product to that SO and automatically ship that SO.
  • Votes

    7

    I/C item status report should have a date range for closing month end ...

    The I/C item status report should have the option to put in a period end date showing quantities on hand otherwise you can not invoice into the next period until all ...