• Votes

    2

    LT 56a Auto-Allocate should work without running IC DEP

    There is no need to run IC day end processing if in the IC Setup both “Cost Items During” and “Create Subledger Transactions and Audit Info. During” are set to “Posting”, ...
  • Votes

    11

    Change the scroll bars so they work like the ones in Excel.

    It is time consuming to have to get to an item that is somewhere in the middle of a batch listing because you can only scroll by (the equivalent of) pages. I may have a ...
  • Votes

    7

    Incorporate Stock Transfers in core Order Entry functionality.

    We have a major issue with the Stock Transfer routine and would recommend its inclusion within the “order entry” module. The existing OE has all the functionality that a ...
  • Votes

    12

    Optional Fields should not be cleared in OE Orders when Ship To ...

    When an the status of an OE Order is changed from Standing Order to Active, all details are brought forward to the new order. However, if the Ship to location is changed ...
  • Votes

    2

    AR Invoice Segment Override

    OE Invoice Segment Override is available in IC Locations. It would be good to have the same capacity directly from AR Invoice
  • Votes

    4

    Allocated Tax GL Entries

    When using a non-recoverable tax from Tax Services for AP invoice entries, the non-recoverable amount is calculated and shown with each detail line as "Allocated Tax", ...
  • Votes

    32

    Setup shortcut key (eg: F6) to copy input in the "from" field ...

    When running a report (eg: inventory movement report), I mostly do this for a single inventory item at a time and it wastes a lot of my time to have to enter the same ...
  • Votes

    10

    Set up the PJC analytical report Contract Summaries that they can be ...

    Set up the PJC analytical report Contract Summaries that they can be printed at specific date so you will only see the billings and costs up to the end of that specific ...
  • Votes

    55

    A/R Customer Master

    So many of our customers have cell phone numbers in addition to a landline telephone number. It would be very helpful if the Customer Master includes a field for a cell ...
  • Votes

    14

    Put icons in order of use.

    For example, reading from left to right, AP invoice entry should come before the invoice batch list. I think new users would appreciate this change.
  • Votes

    12

    CPP calculates incorrectly after a payroll cheque has been reversed ...

    Cpp calculates incorrectly after a payroll cheque has been reversed and reissued.
  • Votes

    3

    Allow modifying of transaction date, when processing an apply document ...

    In AP Payments allow modifying of transaction date when processing an apply document transaction. Same as is allowed for an actual payment. At the moment it picks up ...
  • Votes

    27

    Have the same functionality in Accounts Payable as we have in 5.6 AR ...

    The AR Inquiry feature in 5.6 should be copied into Accounts Payable for doing Vendor queries.
  • Votes

    2

    Bank Module - Cash Consolidation entry

    Cash Consolidation entry - allow for single deposit with multiple debits against other banks. Also need simpler way to enter large number of deposits for an individual ...
  • Votes

    2

    Payroll Tax Analysis Calculation Report

    RE: Unemployment tax calculations - the tax calculations are still incorrect with Version 5.6. If an employee is at the maximum amount that the unemployment tax ...
  • Votes

    3

    Provide information on related fields in Accpac

    Mark related fileds in addition to marking the required fields on a table export/import. For example, when importing in an O/E sales order with order unit of measure it ...
  • Votes

    3

    Bank Default Setup for Payment Type

    In version 5.6 we can set the Default Bank Code and also set the Default GL Account. I would like to have the ability to also set the default on the Payment Type.
  • Votes

    3

    GL Consolidations - allow the user to add an entity code during setup

    Companies need to have an Entity code in the Consolidation Company in order to report on the consolidated results. Currently, they either have to add it to each Company ...
  • Votes

    6

    GL Create New fiscal sets should be separated from year end rollover.

    In Create New Year, please add check boxes to select one or both of the following 1. create new fiscal sets 2. transfer Income account balances to retained earnings This ...
  • Votes

    5

    “Customize” feature In Accpac and setting up UIs to hide such things ...

    The “Customize” feature and setting up User Interface to hide such things as “Print” in Accpac modules, doesn’t work very well as users have found alternate ways of ...