• Votes

    6

    Accounts Receivable/Process Invoices/Select Shipments-Batch Posting

    It is very easy to overlook this step when making sure everything is posted for month end closing. Shipments do not automatically go into a batch. You have to manually ...
  • Votes

    6

    Add an option to the G/L account setup to "Disallow account posting" ...

    Restriction of journal entries to G/L control accounts (A/R, A/P, cash, etc) reduces or eliminates the risk of control account/subledger out-of-balance situations. This ...
  • Votes

    6

    Reverse or unapply debit or credit memo in AP

    I have a situation where a user was able to apply two debit memos for the entire value of the invoice to the same invoice. Now the invoice shows up on the AP Aging with a ...
  • Votes

    6

    Cash Receipts - Enter Invoice number before entering customer

    We are version 7.40.5 Look into the possibily of re-working enter cash receipts to be able to enter the known invoice number prior to entering the customer number. The ...
  • 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

    Excel Export Options

    There is no option to export data as a formatted (or even unformatted) .xlsx file within the General Ledger Module. The export option in the Cash Management Module ...
  • Votes

    6

    Allow the System Status task window to be adjusted

    In v7.30.5 (and probably all other versions), the System Status task window size is locked and cannot be adjusted or maximized. It would be helpful if the window's size ...
  • Votes

    6

    Someone at Sage actually read these

    The "planned" and "completed" numbers have not changed much so I am wondering if I am wasting my time entering ideas in here. There are FANTASTIC easy items in here I ...
  • 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

    Have new screens due to upgrading added to any CUSTOM task menu items ...

    I had a customer upgrade from 6.3 to 7.3 and they had a couple custom task menu lists. With the addition of all the business insights, it makes adding them to the custom ...
  • Votes

    6

    Add the ability to fill text in the notes box for Progress Entry ...

    the notes box is available but text cannot be entered. It would be useful to be able to enter a reason for a progress return.
  • Votes

    6

    Create a PO Receipt of Goods API

    Like Purchase Orders, which can be imported into MAS 500, there is a need to have the capability to import receipt of Goods into MAS 500 as well. The MAS 500 Professional ...
  • 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

    Date in Cash Management Bank Transaction Entry

    Please make the date in the Bank Transaction Entry window default to the posting date entered on the batch. It's very annoying to have to type the date over and over ...
  • Votes

    6

    Improved inventory transaction history purge with calculated balance ...

    In its current state, running the inventory transaction history purge does not create a balance forward record. This renders the recalc utility used to bring the various ...
  • Votes

    6

    Provide a way to print a customer list by sales territory

    Neither of the two customer reports offer a way to print a customer list by territory when you need to take 'Other Addresses' into account. The ...
  • Votes

    6

    Select boxes for Field & Conditon: Design the grid to show all of the ...

    The things I want are always on the bottom of the list. It is very irritating to constantly have to role down to bottom of the list. I want to see the whole picture of ...
  • Votes

    6

    Allow the ability to make reference codes mandatory or optional for ...

    Need to be able to make the reference code field mandatory is the account mask is hit during trx entry. There is no warning at all letting the user know that they should ...