• Accounts Payables discount not posting a Journal

    I have a client who's vendor is giving out some accessories with a 100% discount in a certain month. On Purchase order, the client is capturing this accessories with the previous cost but discounting it at 100%. The challenge is and I stand corrected…
  • Accounts Payable

    I am looking for a work around to void a check in my current accounting period, that pays something in a previous closed accounting period so far back the accounting period can not be opened. What is my JE or work around to void check or to reinstate…
  • HELP! Can I edit or delete a posted receipt in Purchase Order

    I receipted my purchase order and posted it in Sage 300 but I did not put the correct amount down and hence I cannot Invoice it. Is there a way for me to edit or delete the the receipt for the purchase order. Please help me ASAP. Thank you.
  • Checks were voided when trying to reprinting checks in AP Sage300

    The first time printing checks it did a print to file and did not print the physical checks. I went into reprint checks, I input the check range that should have printed but did not change the starting check number, so it voided the first range of checks…
  • "Description: Bank <BANKCODE> is not set up to use currency <CUR>.

    Getting this error when trying to delete an open batch. Any help is appreciated!
  • correcting payment made to wrong vendor. check was printed but not mailed

    An payment entry was made to the wrong vendor in AP. Check was printed but not mailed. Need to removed this check from Vendor A and enter the invoice and pay it under Vendor B I do see a selection called Reverse Transactions under Bank Recon. However…
  • Can I process AP batches in October if September AP isn't closed yet without affecting each other?

    Is it possible to process an AP batch in October if the previous month (September) isn't closed yet? Would processing in October affect the September AP?
  • Subcontract adjustments

    I have a subcontractor who is supposed to provide materials & labor. Due to financial problems, he has charged materials to one of my supplier accounts. What is the best way to adjust the subcontract? Change order? Send subcontractor a bill?
  • A/P Invoice Distribution (Coding) Change

    Hi, I would like to correct a previously entered invoice. The coding of the invoice is incorrect however I don't want to actually reverse the cheque, I just want to change the coding. Normally, I would do a JE to correct it however I would like to follow…
  • Unable to find Prepayment in Reverse Transactions

    Hi, A user has entered a Prepayment in AP for a vendor. Now, they want to reverse it but it cannot be found in Bank Services -> Reverse Transactions. The prepayment in visible in the vendor activity and also has a balance. What could possibly be…
  • Intermittent issue - PO Invoice from multiple receipts,splits into multiple invoices in AP

    Intermittent. Job related PO Invoice for multiple receipts entered using drop down, the invoice appears to be OK but after day end the AP Invoices are split by receipt number with the same Inv#. This creates an Error batch in AP. V 2017 -PU6; cannot replicate…
  • Revalue specific AP PrePayment

    Hi, Is it possible to Revalue a specific AP PrePayment? One PrePayment was posted with a wrong exchange rate. Now, the client wants to revalue this PrePayment so that the GL values are correct. Appreciate your input. Regards, Ubaidullah Nubar…
  • AP Paid Status Incorrect

    FormerMember
    FormerMember
    How can an invoice show a status of 'Fully Paid' but the distribution line (there is only one distribution line) show a status of 'Open'? The invoice is NOT paid, and shows in the Select for Payment screen. How can the 'Fully Paid' status be corrected…
  • How to reverse a credit card payment that has been posted

    Hi, Could someone please help with a payment that was posted to a wrong vendor through the credit card. The payment had to be applied to a different vendor. Is there a way that I could unapply the payment to that vendor and apply it to a different…
  • How to fix open PO receipts that were accidentally invoiced directly in AP

    It may have been lack of training, or situational awareness that caused this mess. Our office manager didn't notice/or react and now two years later we have a bunch of open PO receipts. We chased down the issue to the invoices from the Vendors being…
  • Incorrect entry in Sage Accounts Payable Module

    Hi Team our team has entered a transaction which is not related to September month and now they wanted to remove September month entry. Finance has closed the month of September. can someone advise me what is the best way to remove that entry…
  • Prevent Duplicate Invoices Across Companies

    FormerMember
    FormerMember
    I already have the default setting that prevents an invoice from being entered twice, but is there a way to extend this to prevent duplicates across all companies in our system? Almost all of the bills that come to my office are addressed to 1 company…
  • Sage CRM - Twice-weekly "Drop-in-Surgery"

    David Beard and Jeff Richards will be available online to help customers & our reseller partners with technical questions, perhaps brainstorm ideas for deployment, seek advice on marketing & sales + almost anything else SageCRM Drop in via Skype or dial…
  • Bank Reconciliation - wrong check reconciled, how to correct?

    Bank Activity: Item 1: Customer 1 4/2/2018 Wire Transfer $500.00 Item 2: Customer 2 4/26/2018 Check 1234 $500.00 Item 3: Customer 1 4/30/2018 Wire Transfer $500.00 The person who reconciled the bank cleared Item number 1 and 2, instead of Item…
  • Opening balance AP and Bank

    Hi, To setup enter AP opening balances in previous versions, a SETUP bank account had to be created to enter to outstanding payments. Hows is this done in new sage versions.
  • REVERSING CLEARED PAYMENTS IN A/P

    FormerMember
    FormerMember
    I'm not sure why we can reverse A/R payments and not A/P payments? I have had situations where we have prepaid items and then for whatever reason the funds were returned to us at a later date after I have reconciled the account. Then I have to do a debit…
  • AP detail description

    Hi, In AP GL integration, if the detail description option was not selected to be transferred to GL initially, what happens if this setup is done mid way. Will the detail description be transffered for history data? If not, then how can this be retrieved…
  • “The applied amount exceeds the job distributions current balance of document XXX for vendor XXXX.”

    This error is generated when AP payment batch is posted. The applied amount is prorated by amount to individual projects by using jobs option.
  • Does anyone use Global VCard to pay vendors?

    If so, how is it working out and how did you setup your vendors? We are considering using them and wanted some feedback.
  • Cashbook Retrieve from Other System

    I notice that in Sage 300 ERP 2016 there is a Retrieve from Other Systems function/module that is available. Is this available in Accpac version 6?