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ProductsSage MAS 90 and MAS 200 ERPAccounts Payable Enhancements    March 10, 2010
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Sage MAS 90 and 200 ERP Enhancements for Accounts Payable

Get the most out of MAS 90/200!

Schedule a demo, find out more information, or get pricing!  (562) 346-3330
AP-1006               Cash Basis Accounting and History Posting
Provides the ability to operate a cash basis accounting system in the Accounts Payable module. Posting to the General Ledger occurs only when an Accounts Payable check is generated to pay an Invoice created from Invoice Data Entry or Manual Check Entry. Alternately, you may continue to post to G/L on an accrual basis and use this Extended Solution to track the original G/L distribution of cash disbursements.
 
AP-1011               Invoice Bank Coding 
Allows you to specify a Bank Code during A/P Invoice data entry. This Bank Code can be used as an additional selection criterion during Invoice Payment Selection, Check Maintenance, Check Printing, and the Aged Invoice Report.
 
AP-1012               Accounts Payable Invoice Data Import from ASCII file 
Five file formats for importing Accounts Payable Invoice Data.
 
AP-1015               Data Conversion for Extended Comments to C/M UDF 
Provides a conversion utility of the AP-1015 Open Invoice Extended Comments, entered prior to version 4.20, to an AP Invoice
Custom Office User Defined Field.
 
AP-1016               Multiple Divisions/Companies on Checks 
Allows a single Accounts Payable check to be generated to pay on-file invoices for the same Vendor number in multiple divisions and/or multiple companies. A single Accounts Payable check can be generated for the total of all invoices selected for the same vendor number across divisions and company codes.
 
AP-1020               Custom Comment Posting To Job Cost 
Allows you to determine the contents of the posting comment to the Job Cost transaction detail file.
 
AP-1024               Foreign Currency Processing 
Provides a method to enter and maintain Invoices in a foreign currency (with a default currency conversion factor by division) and post to the General Ledger in U.S. Dollars.
 
AP-1027               Multiple Company Accounts Payable 
Adds the concept of multiple Subsidiary companies for a single Agent company. You can perform Invoicing, Manual Check Entry, Invoice Payment selection, and G/L postings to Subsidiary companies concurrently with the Agent company. The Check History, Monthly Purchase, and Purchase Analysis Reports have been enhanced to report on Subsidiary company activity.
 
AP-1043               Distribution Table For Invoice Entry 
Adds user defined ‘distribution tables’ to Accounts Payable. Each table lists up to ninety-nine General Ledger Account Numbers and a corresponding percentage value for each account. During Invoice Data Entry, a distribution table may be selected and used to generate distribution lines for the invoice.
 
AP-1046               Division Number by Distribution Line 
Adds the ability to ‘allocate’ distribution lines on Accounts Payable invoices to multiple divisions. Individual invoices, one invoice per division, are then automatically created. This Extended Solution will not function if your Accounts Payable module is integrated with the Job Cost module or the Time and Billing module.
 
AP-1058               Security by Division 
Adds security by Division to specific locations in Accounts Payable, Purchase Order and Inventory. Users without clearance will not be allowed to enter Division Codes in specific Reports, Inquiries and Data Entry Screens. You may choose if users should be included or excluded in the Setup for this Extended Solution.
 
AP-1063               ACH Electronic Payment For A/P 
Allows for direct deposit entries to be processed for Accounts Payable Vendors and placed in files suitable for transmission to your financial institution. The files that are generated meet all NACHA (National Automated Clearing House Association) standards.
 
AP-1073               Multiple Company Check Processing  
Adds individual company check processing for multiple MAS 90 MAS 200 Companies from one Company Code.
 
AP-1076               Retain Paid Invoices for 9999 Days 
Allows the retention of paid invoices for up to 9,999 days.
 
AP-1077               Additional Check Printing Sort Options 
Adds the ability to print checks in alphabetical order by Vendor Name.
 
AP-1079               Alternate Path for Check Forms 
Allows you to specify an alternate path for the check form for Check Printing, Manual Check Printing, and Extended Stub Printing.
 
AP-1085               Multiple Company Vendor Synchronization
(See also GL-1054 and AR-1239.) Synchronizes Vendor Maintenance information across multiple companies.
 
AP-1088               Enhanced Vendor Maintenance  
Module prompts the user for a password when an attempt is made to change the Vendor Name field in A/P Vendor Maintenance. Changes made to the field during the setup of a new Vendor will not require a password.
 
AP-1092               Invoice Payment Selection Restricted by User ID 
Prevents other users from accessing all options on the Check Printing menu until the selection is cleared in Payment Selection or the check register is updated.
 
AP-1094               'Due To/ Due From' Accounts  
Adds additional posting functionality to either AP-1016: Multiple Divisions/Companies on Checks, or AP-1073: Multiple Company Check Processing. For each check that pays funds for another company code, additional General Ledger entries will be created to offsetting ‘Due To’ and ‘Due From’ accounts that you specify in new Company Code Offset Account Maintenance program.
 
AP-1095               Paperless Office: A/P Checks & Direct Deposit Stubs 
Allows you to generate checks and Direct Deposit stubs as PDF documents.
 
AP-1096               Rapid Manual Check Entry for Multiple Companies 
Allows fast manual check entry for multiple companies in one place.
 
AP-1097               Multiple Company Manual Check Update 
Provides the ability to print and update manual check registers for multiple companies simultaneously.
 
AP-1101               Multiple Company Aged Invoice Report 
Modifies the Accounts Payable Aged Invoice Report as follows: • adds a range of Company Codes to the Selection criteria • adds Company Code as a column on the report, to the left of the Invoice Number.
 
AP-1102               Automatic Next Vendor Number 
Creates an Automatic Next Vendor Number option in Accounts Payable Vendor Maintenance, Accounts Payable Invoice Data Entry and Accounts Payable Manual Check Entry.
 
AP-1106               A/P Interface with CPAPractice Manager 
Allows you to synchronize CPAPractice Manager Client, Employee and Service Code data against three corresponding User Defined Validation tables in MAS90. When the corresponding UDFs have been added to the detail grid, Invoice Entry and Manual Check Entry of an Invoice on the fly will prompt the user to fill in this data (it is not required). Invoice Register update and Manual Check Register update have been modified to export the A/P data back to CPAPractice Manager’s SQL Time In table.
 
AP-1107               Terms Codes With Multiple Due Dates  
Allows an unlimited number of due dates and a corresponding percentage of the invoice amount to be assigned to designated terms codes during A/P Invoice Entry. Invoice Payment Selection and the A/P Aging process have been modified to recognize portions of Invoices for aging and payment selection.
 
AP-1109               Budget Comparison for A/P and P/O  
Compares expected postings to the General Ledger from A/P Invoice Entry and Purchase Order Entry to a specified annual budget for each account. If the sum of the open A/P + the open P/O + the existing postings exceeds the annual budget then the user will be prevented from proceeding unless a password is entered.
 
AP-1110               Negative Check Selection for AP-1063  
Allows negative checks to be included in the ACH file. This Extended Solution requires AP-1063: Electronic Payment for Accounts Payable.
 
AP-1113               Enhanced Job Status Posting for A/P  
Modifies Accounts Payable Invoice Entry to notify you when the Job Number selected has the status of Complete or Closed. It will also modify the Job update when a Closed job has been referenced on an Invoice by changing its status to Complete rather than to Open.
 
AP-1114               Tax Detail Edit for A/P Invoice Entry  
Allows the Total Purchase amount to be separated into taxable and non-taxable amounts on Accounts Payable Invoices.
 
AP-1115               Additional Discounts for A/P Invoices  
Allows you to add two additional user defined discounts to Accounts Payable Invoice Entry. These discounts will be applied on the first check processed against the invoice and will post to the general ledger accounts specified during setup.
 
AP-1116               G/L Segment Substitution in A/P Invoice Entry  
Provides G/L Segment Substitution in A/P Invoice Entry and A/P Repetitive Invoice Entry. A/P Invoice Batch processing has been modified with a prompt for a G/L Sub Account. Its value will default into the G/L Sub Account on the Invoice Header.
 
AP-1117               Auto A/R Invoice Creation from A/P Invoice Entry  
Creates A/R Invoices from A/P Invoices when the A/P Invoice Distribution Account is in a Setup specified range. The creation of A/R Invoices occurs as part of the A/P Invoice Register update. The A/R Invoices will contain a Setup specified Item Code and will be for the same amount as the A/P Distribution amount. This functionality can be restricted to one specified A/R Division.
 
AP-1118               A/P Invoice Date as G/L Posting Date  
Posts G/L Daily Postings from the A/P Invoice Register Update using the A/P Invoice Date. During the A/P Invoice Register Update, the A/P Invoice Date is used for the G/L Daily Posting file Posting Date rather than the Accounts Payable Posting Date. There will be one balanced G/L Posting for each unique Invoice Date in the file.
 

Sage MAS 90 and 200 ERP Enhancements for Accounts Payable

Get the most out of MAS 90/200!

Schedule a demo, find out more information, or get pricing!  (562) 346-3330
AP-1006               Cash Basis Accounting and History Posting
Provides the ability to operate a cash basis accounting system in the Accounts Payable module. Posting to the General Ledger occurs only when an Accounts Payable check is generated to pay an Invoice created from Invoice Data Entry or Manual Check Entry. Alternately, you may continue to post to G/L on an accrual basis and use this Extended Solution to track the original G/L distribution of cash disbursements.
 
AP-1011               Invoice Bank Coding 
Allows you to specify a Bank Code during A/P Invoice data entry. This Bank Code can be used as an additional selection criterion during Invoice Payment Selection, Check Maintenance, Check Printing, and the Aged Invoice Report.
 
AP-1012               Accounts Payable Invoice Data Import from ASCII file 
Five file formats for importing Accounts Payable Invoice Data.
 
AP-1015               Data Conversion for Extended Comments to C/M UDF 
Provides a conversion utility of the AP-1015 Open Invoice Extended Comments, entered prior to version 4.20, to an AP Invoice
Custom Office User Defined Field.
 
AP-1016               Multiple Divisions/Companies on Checks 
Allows a single Accounts Payable check to be generated to pay on-file invoices for the same Vendor number in multiple divisions and/or multiple companies. A single Accounts Payable check can be generated for the total of all invoices selected for the same vendor number across divisions and company codes.
 
AP-1020               Custom Comment Posting To Job Cost 
Allows you to determine the contents of the posting comment to the Job Cost transaction detail file.
 
AP-1024               Foreign Currency Processing 
Provides a method to enter and maintain Invoices in a foreign currency (with a default currency conversion factor by division) and post to the General Ledger in U.S. Dollars.
 
AP-1027               Multiple Company Accounts Payable 
Adds the concept of multiple Subsidiary companies for a single Agent company. You can perform Invoicing, Manual Check Entry, Invoice Payment selection, and G/L postings to Subsidiary companies concurrently with the Agent company. The Check History, Monthly Purchase, and Purchase Analysis Reports have been enhanced to report on Subsidiary company activity.
 
AP-1043               Distribution Table For Invoice Entry 
Adds user defined ‘distribution tables’ to Accounts Payable. Each table lists up to ninety-nine General Ledger Account Numbers and a corresponding percentage value for each account. During Invoice Data Entry, a distribution table may be selected and used to generate distribution lines for the invoice.
 
AP-1046               Division Number by Distribution Line 
Adds the ability to ‘allocate’ distribution lines on Accounts Payable invoices to multiple divisions. Individual invoices, one invoice per division, are then automatically created. This Extended Solution will not function if your Accounts Payable module is integrated with the Job Cost module or the Time and Billing module.
 
AP-1058               Security by Division 
Adds security by Division to specific locations in Accounts Payable, Purchase Order and Inventory. Users without clearance will not be allowed to enter Division Codes in specific Reports, Inquiries and Data Entry Screens. You may choose if users should be included or excluded in the Setup for this Extended Solution.
 
AP-1063               ACH Electronic Payment For A/P 
Allows for direct deposit entries to be processed for Accounts Payable Vendors and placed in files suitable for transmission to your financial institution. The files that are generated meet all NACHA (National Automated Clearing House Association) standards.
 
AP-1073               Multiple Company Check Processing  
Adds individual company check processing for multiple MAS 90 MAS 200 Companies from one Company Code.
 
AP-1076               Retain Paid Invoices for 9999 Days 
Allows the retention of paid invoices for up to 9,999 days.
 
AP-1077               Additional Check Printing Sort Options 
Adds the ability to print checks in alphabetical order by Vendor Name.
 
AP-1079               Alternate Path for Check Forms 
Allows you to specify an alternate path for the check form for Check Printing, Manual Check Printing, and Extended Stub Printing.
 
AP-1085               Multiple Company Vendor Synchronization
(See also GL-1054 and AR-1239.) Synchronizes Vendor Maintenance information across multiple companies.
 
AP-1088               Enhanced Vendor Maintenance  
Module prompts the user for a password when an attempt is made to change the Vendor Name field in A/P Vendor Maintenance. Changes made to the field during the setup of a new Vendor will not require a password.
 
AP-1092               Invoice Payment Selection Restricted by User ID 
Prevents other users from accessing all options on the Check Printing menu until the selection is cleared in Payment Selection or the check register is updated.
 
AP-1094               'Due To/ Due From' Accounts  
Adds additional posting functionality to either AP-1016: Multiple Divisions/Companies on Checks, or AP-1073: Multiple Company Check Processing. For each check that pays funds for another company code, additional General Ledger entries will be created to offsetting ‘Due To’ and ‘Due From’ accounts that you specify in new Company Code Offset Account Maintenance program.
 
AP-1095               Paperless Office: A/P Checks & Direct Deposit Stubs 
Allows you to generate checks and Direct Deposit stubs as PDF documents.
 
AP-1096               Rapid Manual Check Entry for Multiple Companies 
Allows fast manual check entry for multiple companies in one place.
 
AP-1097               Multiple Company Manual Check Update 
Provides the ability to print and update manual check registers for multiple companies simultaneously.
 
AP-1101               Multiple Company Aged Invoice Report 
Modifies the Accounts Payable Aged Invoice Report as follows: • adds a range of Company Codes to the Selection criteria • adds Company Code as a column on the report, to the left of the Invoice Number.
 
AP-1102               Automatic Next Vendor Number 
Creates an Automatic Next Vendor Number option in Accounts Payable Vendor Maintenance, Accounts Payable Invoice Data Entry and Accounts Payable Manual Check Entry.
 
AP-1106               A/P Interface with CPAPractice Manager 
Allows you to synchronize CPAPractice Manager Client, Employee and Service Code data against three corresponding User Defined Validation tables in MAS90. When the corresponding UDFs have been added to the detail grid, Invoice Entry and Manual Check Entry of an Invoice on the fly will prompt the user to fill in this data (it is not required). Invoice Register update and Manual Check Register update have been modified to export the A/P data back to CPAPractice Manager’s SQL Time In table.
 
AP-1107               Terms Codes With Multiple Due Dates  
Allows an unlimited number of due dates and a corresponding percentage of the invoice amount to be assigned to designated terms codes during A/P Invoice Entry. Invoice Payment Selection and the A/P Aging process have been modified to recognize portions of Invoices for aging and payment selection.
 
AP-1109               Budget Comparison for A/P and P/O  
Compares expected postings to the General Ledger from A/P Invoice Entry and Purchase Order Entry to a specified annual budget for each account. If the sum of the open A/P + the open P/O + the existing postings exceeds the annual budget then the user will be prevented from proceeding unless a password is entered.
 
AP-1110               Negative Check Selection for AP-1063  
Allows negative checks to be included in the ACH file. This Extended Solution requires AP-1063: Electronic Payment for Accounts Payable.
 
AP-1113               Enhanced Job Status Posting for A/P  
Modifies Accounts Payable Invoice Entry to notify you when the Job Number selected has the status of Complete or Closed. It will also modify the Job update when a Closed job has been referenced on an Invoice by changing its status to Complete rather than to Open.
 
AP-1114               Tax Detail Edit for A/P Invoice Entry  
Allows the Total Purchase amount to be separated into taxable and non-taxable amounts on Accounts Payable Invoices.
 
AP-1115               Additional Discounts for A/P Invoices  
Allows you to add two additional user defined discounts to Accounts Payable Invoice Entry. These discounts will be applied on the first check processed against the invoice and will post to the general ledger accounts specified during setup.
 
AP-1116               G/L Segment Substitution in A/P Invoice Entry  
Provides G/L Segment Substitution in A/P Invoice Entry and A/P Repetitive Invoice Entry. A/P Invoice Batch processing has been modified with a prompt for a G/L Sub Account. Its value will default into the G/L Sub Account on the Invoice Header.
 
AP-1117               Auto A/R Invoice Creation from A/P Invoice Entry  
Creates A/R Invoices from A/P Invoices when the A/P Invoice Distribution Account is in a Setup specified range. The creation of A/R Invoices occurs as part of the A/P Invoice Register update. The A/R Invoices will contain a Setup specified Item Code and will be for the same amount as the A/P Distribution amount. This functionality can be restricted to one specified A/R Division.
 
AP-1118               A/P Invoice Date as G/L Posting Date  
Posts G/L Daily Postings from the A/P Invoice Register Update using the A/P Invoice Date. During the A/P Invoice Register Update, the A/P Invoice Date is used for the G/L Daily Posting file Posting Date rather than the Accounts Payable Posting Date. There will be one balanced G/L Posting for each unique Invoice Date in the file.
 

 

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