• Votes

    5

    To have a real time transaction without Day End Processing, or at ...

    The "Day end processing" for IC is causing a lot of delay in processing the required inventory items. We have to wait the next day (after day end are run during the ...
  • Votes

    6

    Localization of ACCPAC

    ACCPAC should have localized features/functions which are country specific statutary requirements. Most of other ERP solution has this to address country specific ...
  • Votes

    23

    Enhanced Optional Field Reporting

    One of the good features of Optional Fields is to create things like Project Codes for G/L Accounts. So instead of blowing out your Chart of Accounts for something that ...
  • Votes

    11

    Bank Reconciliation - Quick Clearing

    Currently in 5.6 when you quick clear entries you only have a from and to range for withdrawal number. When you generate and process EFT payments in A/P you define it ...
  • Votes

    9

    Create New Entries from the Finder

    Lots of fields have the finder....like A/P Invoice has finders for distribution codes \ sets, terms codes etc. This is through out the system. If there is a piece of ...
  • Votes

    5

    GL Consolidations - Tighter Integration Between GL & Setup

    Currently you have the Accpac GL and you have G/L Consolidations which is like a bit on the side. For example in a child company if you add a new GL Account you need to ...
  • Votes

    12

    Intercompany Receivables

    There is no Intercompany Receivables Function in the system. Quite often Companies that have a parent / child relationship want to be able to generate an Invoice in ...
  • Votes

    14

    Data Integrity - Ability to Cancel All

    Currently when you goto cancel data integrity it only cancels the current check running. If there is still another module to check data integrity carries on. This is a ...
  • Votes

    8

    Intercompany Bank Reconciliation

    Clients who use Intercompany Transactions often require to transfer money from Company A to Company B. This should be a feature in Intercompany Transactions that creates ...
  • Votes

    6

    Able to set security on modification on PO unit cost.

    Ability to allow administrative user or Procurement manager to modify PO unit cost. Else the cost should be defaulted PO option setup default.
  • Votes

    8

    Sale Unit Price in OE Sales History Detail Screen

    Current OE Sales History Detail screen has Qty Sold, Sales Amount, COGS figures and it would be great to include Unit Sale Price or average unit price as well.
  • Votes

    21

    Bank Reconciliation - Post Payroll EFT transactions as a lump sum

    Currently, each employee EFT is posted to Bank Rec separately, but our bank posts the EFT withdrawal as a lump sum. Reconciling to the individual entries Payroll posts ...
  • Votes

    13

    Remove Optional Field and Allow Administrator to add Fields Direct

    About 6 months ago I began investigating alternative ERP providers for my organization as I was looking to add additional functionality and streamline our business ...
  • Votes

    12

    Add a Drop Ship Flag in Order Entry

    Add a Drop Ship Flag for either the entire OE Order or by OE Order Line Item when entering in a Order even if there is Inventory in Stock for the items. Then have the ...
  • Votes

    12

    Cheque Reversals should have its own document

    When Customer Cheques or Vendor Payments, ACCPAC just offsets the invoice and puts the Reverse flag on the receipt/payment. This makes reconciliation using AR Customer ...
  • Votes

    7

    Audit Trail Report in Subledgers to show Posting completeness until GL

    There should be an audit report that trails from source ledger to GL Transactions; Accpac has drilldown from GL to source entry; however most of the time it is important ...
  • Votes

    45

    A/P Invoices should allow a mixture of both job-related and non-job ...

    It is very frustrating to receive an American Express bill or a fuel card statement that has a mixture of overhead expenses and items that are chargeable to a job and to ...
  • Votes

    30

    OE Prepayment should show on OE Invoice

    In Order Entry, if you take a prepayment at the time the order is taken, the payment only shows on the Order Confirmation. It should also show on the Packing List and OE ...
  • Votes

    4

    CRM - Dashboard email action - display in popup instead

    In the new interactive dashboard, if you choose to use the email action within a list, it brings you to a new page to send the email. Once finished the entire Dashboard ...
  • Votes

    8

    Order entry committed qty should also commit the components

    When we commit the order line item having BOM no it should commit the for the BOM components also and assembly to be done using the committed qty for the BOM. This will ...