• Votes

    6

    AP edit View allow the ability to change the invoice date.

    After a voucher has been posted and you notice the invoice date is wrong. Customer's would like to change the data in the edit view feature instead of creating debit and ...
  • Votes

    6

    Allow Inter-comp Non-Financial Journal Entries

    Allow inter-company non-financial JE's, as well as allow it in data import mgr. It's easier to load entries from one spreadsheet than have to break in out by company.
  • Votes

    6

    Cash receipts show advise if a customer making a payment is on hold

    Many times the person posting the payments is not the person who put the customer on hold. Therefore the customer pays their account and does not get released from hold ...
  • Votes

    6

    Add ability to reprint Settlement Report after posting AP-AR Invoice ...

    Add ability to re-print settlements so users can go back to see the settlement details for each vendor and customer settlement batch. Once the register is posted, there ...
  • Votes

    6

    Link Vendor Drop Ship Return to PO

    When a Drop Ship item is returned you should be able to link the Debit Memo in Enter Receipt of Invoices to the original PO.
  • Votes

    6

    Re-enable Address support for Salespersons even with Vendor Comm ...

    In prior versions of MAS500, Individual Salespersons had their own Address information, including phone, fax, and e-mail, even when their commission payment method was ...
  • Votes

    6

    Remove Positive Pay record types without source code

    With the nature of Positive Pay, each bank may have an individual required format. In stored procedure spapPopulatePosPay.sql and Apzjxdl1.dll both need to be modified to ...
  • Votes

    6

    Update ALL screens where a user chosen an account to also have the ...

    Since you can set a reference code to REQUIRED, Sage needs to give the user the ability to CHOOSE on anywhere the user selects an account. A perfect example is in the AR ...
  • Votes

    5

    uploading from excell

    importing payments from excel into sage
  • Votes

    5

    Reconcile Balance Sheet accounts

    I would like the ability to have a reconciliation feature on any or all balance sheet accounts. How does anyone manage with the current system to ensure that they know ...
  • Votes

    5

    Allow change to account number or name before posting a transaction

    After you select a customer and have entered the transaction before you post it, if you realized you entered the wrong customer you have to delete the entire transaction. ...
  • Votes

    5

    Fix REPRINT INVOICE functionality (in AR module)

    Currently, the (AR) Reprint Invoice feature will only work if a customer has their Doc Transmittal set to Hard Copy. If only "email" invoices is selected, for example, ...
  • Votes

    5

    Ability to reverse a deposit not tied to a customer (misc cash)

    When entering a misc cash deposit, if a transaction date is entered wrong or the amount, etc. and you don't catch until after it has been posted. You should have the ...
  • Votes

    5

    AR- Post Cash By Invoice Number

    We need the ability to post cash by specific invoice number rather than just to a customer number.
  • Votes

    5

    Add a control to the ACH fields to restrict access and to track and ...

    We need an audit trail to monitor changes to a Vendor's ACH payment information (Routing # or Acct #). The audit trail should include the Old Values, New Values, Date ...
  • Votes

    5

    Support CTX format for ACH

    The CTX format permits more addenda records.
  • Votes

    5

    Provide exclusions to avoid NEGATIVE average days to pay calculations

    If a customer pays an invoice BEFORE the due date (or uses a credit memo to pay the invoice before the due date), MAS 500 then calculates the average days to pay for the ...
  • Votes

    5

    Settle vendors paid with credit card when statement recieved

    In MAS200 this utility "Transfer information" is located in A/P invoice data entry on the lines tab. Processing example; Credit card statement is received and an A/P ...
  • Votes

    5

    Add the ability to change Vendor Class Information To Historical ...

    Steps to Duplicate: In [SOA] company: 1. Expand Accounts Payable > Maintenance > Maintain Vendor Class 2. Create New Vendor Class 3. Set appropriate GL Accounts and ...
  • Votes

    5

    Ability to process multiple commission batches

    Presently only one commission batch can be worked on at a time. We would like to be able to have multiple batches as you are able to in other modules.