Sage 200 UKI Ideas Portal
Add a new idea
Filter by status
Review Required
0
Idea Accepted - Gauging Support
×
Review in progress
2
In Development
2
Partially Implemented
0
Delivered
19
Already Exists
5
Will not implement
2
Further Information Required
6
Not an idea
4
Duplicate (Closed)
1
Filter by category
Accessibility
×
21
Desktop Settings
×
1
Focus
×
0
High resolution displays
×
1
Keyboard Controls
×
5
Menu
×
8
Minimise
×
1
Tabbing
×
1
Tabs/ Open Forms
×
3
Text Size
×
0
Touch Screen
×
1
Accounting System Manager
×
55
Accounting Periods
×
12
Analysis Codes
×
6
Audit Trail
×
6
Company Details
×
4
Currencies and Exchange Rates
×
6
Decimal Precision
×
3
Document Storage
×
1
Intrastat
×
2
Maintain Analysis Codes
×
0
Transaction Analysis Codes
×
2
URN
×
3
VAT Rates
×
3
Verify Data
×
7
Admin/ SAA
×
76
Authentication
×
6
Bank - Dual Authorisation for Changing Supplier Bank Details
×
2
Bank/Nominal - Allow Access To Specific Codes
×
2
Companies
×
7
Default Save Behaviour
×
0
Event Logs
×
2
Features
×
4
Home page
×
1
Installation
×
3
Licence
×
6
Log Off
×
1
Login/Log Off
×
7
Messaging
×
1
Passwords
×
0
Process Maps
×
2
Proxy settings
×
1
Roles
×
16
Scheduled Tasks
×
1
Users
×
14
API
×
42
Amendability
×
0
Analysis Codes
×
1
Attachments
×
1
Filtering
×
2
Invoicing
×
4
Nominal
×
2
POP
×
1
Purchase Ledger
×
1
Sales Ledger
×
1
SOP
×
4
Stock
×
18
Stock
×
0
Webhooks
×
1
Bill of Materials
×
22
Labels
×
1
List
×
3
Maintenance
×
1
New/Amend BOM
×
6
Processing
×
8
Reports
×
2
Trial kitting
×
1
Business Intelligence
×
12
Cash Book
×
89
Archive
×
1
Bank Feeds (Bank Reconciliation)
×
24
Batch Transactions
×
1
Cheques
×
1
Corrections
×
5
Direct Debits and Standing Orders
×
9
Ebanking (Bank Reconciliation)
×
1
Foreign Bank Revaluation
×
3
Inter Account Transfer
×
3
List
×
3
New/Amend Account
×
9
Payment/Receipt
×
25
Settings
×
0
Short Term Cashflow Projection
×
2
Standing Orders
×
0
Transaction Enquiry
×
2
Database
×
12
Access To SQL database on Standard
×
1
Database
×
7
Locking
×
2
Performance - Traceable items
×
1
SOP/POP
×
0
Tracking of Cross Sell Items
×
1
Education
×
5
Counter Party Identification
×
0
Customer/Supplier
×
1
Gift Aid
×
1
Month End Report Suite for Schools
×
2
Stock catalogue import
×
1
VAT 126
×
0
Work With ESFA To Automatically Submit Data
×
0
Excel Reporting
×
18
Fixed Assets
×
22
General
×
7
Archive
×
0
Calculate Net
×
1
Comms
×
0
Demodata
×
0
Desktop
×
1
Launch multiple instances of Sage 200
×
1
Performance
×
2
Search
×
0
Select Company
×
1
Shortcuts
×
0
Spell Check
×
1
Supported Versions
×
0
Help/ Documentation
×
7
CRM Connector
×
0
Database
×
2
Downloads
×
0
Excel Reporting
×
1
Import help
×
1
Knowledgebase
×
0
Offline
×
0
Requisitions
×
0
System Admin
×
1
Version Specific
×
0
Videos
×
1
Ideas Hub
×
3
Sage 200 for Education
×
0
Import/ Export
×
69
Analysis Codes
×
1
Budgets
×
8
Cash Book
×
1
CSV
×
2
Customer/Supplier Account
×
5
Customer/Supplier Transactions
×
8
Excel
×
7
Invoicing
×
1
Nominal
×
20
ODBC
×
1
POP
×
1
Project Accounting
×
2
Roles
×
1
Sales Order
×
0
Settings
×
1
Stock
×
5
Text formatting
×
1
Install
×
14
32/64 bit
×
1
Azure
×
2
Client
×
2
Domain Contollers
×
1
Install path
×
1
Sage 200 Standard Deployment
×
0
Server
×
5
Service Pack
×
0
Silent install
×
1
Test/Demo Environment
×
1
Upgrade
×
0
Integration
×
41
3rd Party Developer
×
1
AutoEntry
×
2
Bank Feeds
×
11
CRM
×
4
G-suite integration
×
1
GoCardless
×
3
Invoice Payments
×
2
Microsoft Outlook
×
2
Microsoft Power Apps
×
5
Opayo
×
7
PayPal
×
0
Sage ID (Sage Account)
×
2
Stripe
×
0
Tracking and Monitoring Module
×
1
Invoicing
×
33
Archive
×
1
List
×
7
New/Amend Invoice
×
14
Post
×
4
Print
×
5
Pro Forma
×
1
Repeat Invoice Templates
×
1
Legislation
×
6
Customs Declaration Service (CDS)
×
1
Deposit Return Scheme (CDS)
×
0
OSS/IOSS
×
1
Payment Practices Reporting
×
1
Plastic Packaging Tax
×
1
Licence
×
0
Manufacturing
×
0
Migration Tool
×
3
Ex Ref
×
1
Release schedule
×
0
Validate Data
×
1
MTD Submission Module
×
2
Nominal Ledger
×
167
Account Summary and Breakdown
×
2
Archive
×
1
Balance Sheet
×
2
Budgets
×
20
Consolidation
×
3
Corrections
×
6
Current Transactions list
×
2
Default Nominal Accounts
×
6
Deferred Income
×
1
Deferred Waiting Postings List
×
2
Delete Account
×
1
Department
×
2
Financial Statement Layouts
×
6
Fixed Assets
×
0
Forecasting
×
1
Inter company Postings
×
2
Invalid Nominal Accounts
×
1
Journal Entry
×
13
Journal Templates
×
3
List
×
16
Month End
×
2
New/Amend Account
×
5
Payment/Receipt
×
2
Prepayments/Accruals
×
7
Previous Year Journal Entry
×
5
Profit and Loss
×
6
Report Categories
×
2
Settings
×
4
SOFA
×
1
Transaction Analysis
×
2
Transaction Enquiry
×
14
Trial Balance
×
3
VAT
×
15
View Nominal Structure
×
1
Year end
×
7
Price Book
×
22
Decimal precision
×
2
Historic Prices / Versioning
×
3
Inactive stock items
×
1
Limited Price Band
×
1
Multiple Discounts
×
2
New/Amend Price List
×
6
Price Bands
×
3
Price Book for Suppliers
×
2
Units of Measure
×
1
Project Accounting
×
38
Provisioning Portal
×
11
Ability To Change Company Name For Archiving
×
1
Assign Sites to Features
×
1
Backups
×
2
User Assignment
×
1
Purchase Ledger (Suppliers)
×
192
Account
×
25
Account Status
×
3
Aged Creditors
×
4
Allocate
×
12
Authorisation
×
9
Batch Change
×
2
Batched Transactions
×
1
Contra Entry
×
1
Corrections
×
10
Duplicate Transaction
×
1
Ebanking (Payments)
×
23
Generate Payments
×
11
Invoice/Credit
×
16
Letters
×
0
List
×
10
Payment
×
4
Purge
×
1
Rapid Invoice
×
14
Remittance
×
0
Settings
×
1
Suggested Payments
×
14
Transaction Enquiry
×
28
URN
×
0
Write Off Small Amounts
×
2
Purchase Order Processing (POP)
×
183
Amend GRN
×
1
Archive
×
1
Authorise
×
25
Back to back orders
×
10
Cancel order
×
2
Cancel return
×
0
Confirm Direct Delivery Goods Received
×
3
Disputed Invoices
×
1
Generate orders
×
4
GRN
×
17
List
×
7
New/Amend Order
×
31
New/Amend Return
×
18
Notification
×
3
Post
×
0
Print
×
5
Purge
×
1
Record invoice
×
20
Requisition
×
32
User permissions
×
1
View order
×
1
Report Designer
×
43
Add Windows Username
×
2
Auto space
×
1
Automated Reports
×
1
Batch Reports
×
2
BOM - Components Report
×
2
Criteria
×
1
Custom Tables
×
1
Date/Time Stamp
×
1
Decimal precision
×
1
Emailing
×
9
Export Sub Reports
×
1
Font
×
0
Location of files
×
1
Login
×
1
Page Footer
×
2
Print on back of layout
×
1
Re-print
×
1
Recent Files
×
1
Run time reports
×
1
Spooler
×
9
Table/variable names
×
0
Variables
×
3
Watch Tool
×
1
Reports
×
34
Attachments variable
×
0
Commas on Reports
×
1
Criteria
×
3
Day Books Reports
×
0
Invoice layouts
×
1
Invoicing - Profitability Reports
×
2
Locations
×
0
Nominal
×
4
Nominal - Budget Reports
×
0
POP
×
1
Portrait versions
×
0
Profitability
×
1
Purchase Ledger - Time taken to pay report
×
1
Purchase Ledger - Trading Reports
×
1
Remittance layouts
×
0
SAA - Roles and enabled features
×
1
Sales Ledger - Debtor Reconcilation
×
2
Sales Ledger - Remove Inactive accounts
×
0
Sales Ledger - Sales Margin Report
×
0
Sales Ledger - Settlement Discounts
×
1
Sales Ledger - Show Credit Values as Negatives
×
1
Sales ledger - Time Taken to Pay Sales Invoices
×
0
Send To Excel
×
2
SOP
×
0
Stock
×
3
Stock - WEEE Sales By Product Report
×
0
Sales Ledger (Customers)
×
162
Account
×
30
Account Status
×
5
Aged Debtors
×
1
Allocate
×
10
BACS Payments
×
2
Batch Change
×
3
Batched Transactions
×
1
Communications
×
0
Corrections
×
11
Dashboards
×
0
Delete Account
×
1
Duplicate Transaction
×
1
EC Sales
×
1
Free Text Invoice
×
8
GDPR
×
1
Invoice/Credit
×
10
Labels
×
1
Letters
×
2
List
×
20
Notifications
×
2
Payment/Receipt
×
4
Provisions for Bad Debt
×
1
Purge
×
1
Rapid Invoice
×
1
Receipt
×
0
Statements
×
2
Transaction Enquiry
×
35
Write Off Bad Debt
×
6
Write Off Small Amounts
×
2
Sales Order Processing (SOP)
×
241
Allocate
×
7
Amend Allocations
×
2
Amend Despatch
×
2
Amend Order Number
×
1
Amend Order Status
×
0
Archive
×
4
Back to Back Orders
×
6
Cancel order
×
3
Convert Pro Forma
×
3
Convert Quote
×
6
Customer Price Enquiry
×
2
Delivery Address
×
2
Despatch
×
17
Email
×
0
List
×
12
New Trade Order
×
1
New/Amend Order
×
106
New/Amend Pro Forma
×
3
New/Amend Quote
×
13
New/Amend Return
×
9
Notification
×
2
Picking List
×
3
Post
×
4
Print
×
2
Print Acknowledge
×
2
Print Invoice
×
13
Purge
×
1
Repeat Invoice Templates
×
0
Repeat Order Templates
×
2
Reprint Invoice
×
6
Reprint Invoice
×
0
User Permissions
×
2
View Order
×
2
Write Off Orders
×
2
Security
×
1
Stock
×
112
Allocate
×
1
Archive
×
2
Batch Change
×
4
Delete Record
×
1
Enquiry
×
1
Fulfilment
×
1
Internal Return
×
1
Issue Allocation
×
1
List
×
12
Locations
×
3
New/Amend Stock Record
×
26
Nominal Postings
×
1
Product Groups
×
4
Revalue stock
×
1
Settings
×
3
Standard Cost Variances
×
1
Stock Transaction Report
×
1
Stock valuation report
×
3
Stocktake
×
17
Traceability Enquiry
×
3
Transfer
×
6
Valuation
×
1
View Buying Prices
×
1
View Stock Item Balances
×
4
View Stock Item History
×
8
Write off stock
×
4
Support
×
2
Email Notifications
×
0
Incident Management System
×
1
Known Issue
×
1
Web screens
×
1
Workspaces
×
30
Auto Refresh
×
1
Credit Control
×
2
Drilldown Reports
×
2
Grids
×
1
My Budgets Overview
×
1
Payments Control
×
1
Print
×
1
Purchase Document Status
×
1
Reset Workspaces
×
1
Resize Workspace panels
×
1
Sales Document Status
×
2
Sales Summary
×
2
SOP Document Status
×
1
Stock Status
×
1
Supplier Invoice Authorisation
×
1
Switch Companies
×
1
View All
×
1
Workspace Designer
×
4
Log in / Sign up
Recent
Trending
Popular
3
Vote
Allow for a sort of bank feed rules
Currently unable to sort bank feed rules, which makes it time consuming to find a rule when trying to amend. It would also be useful to be able to see the last time a rule was used.
Created 29 Jan 09:34am by Ryan Westhoff
Bank Feeds (Bank Reconciliation)
0
Idea Accepted - Gauging Support
3
Vote
Add Statement Reference to Cash Book Bank Reconciliation Report & Change Format
I don't know how many different Banks this now applies to but certainly Barclays have removed the cumulative sequential Page Numbers from Statements. This means that the user has to create their own Statement Reference, very often a date or some d...
Created 14 Aug 12:00am by Graham Michel
Bank Feeds (Bank Reconciliation)
0
Idea Accepted - Gauging Support
3
Vote
Bank Reconciliation Report
There needs to be a consolidate bank reconciliation report which comes off the system when the bank rec is complete like in sage 50 showing The reconciled bank figure The un-reconciled items The adjusted bank balance We are all doing this manually...
Created 28 Jun 12:00am by Guest
Bank Feeds (Bank Reconciliation)
0
Idea Accepted - Gauging Support
3
Vote
Include box for VAT number in Direct Debit / Standing Order wizard for education customers
To enable any relevant direct debits / standing orders to impact the VAT 126 report, could we please add a box in the wizard to include this?
Created 10 Oct 12:00am by Peter Donaldson
Direct Debits and Standing Orders
0
Idea Accepted - Gauging Support
3
Vote
Allow Cost Centre and Department descriptions in the columns list when looking at the nominal ledger
The nominal ledger and many of the reports would be much more helpful if you were able to display the description of the Cost Centre and Department as well as just the short code. Looking after 3 schools with around 100 departments in each makes i...
Created 10 Aug 12:00am by Guest
New/Amend Account
0
Idea Accepted - Gauging Support
3
Vote
Being able to view and sort by more columns in the Bank Reconciliation window
In Sage 50 you could see more fields in the bank rec such as transaction number and also had the ability to sort by these.
Created 6 Feb 12:00am by Guest
Bank Feeds (Bank Reconciliation)
1
Idea Accepted - Gauging Support
3
Vote
Sort Cash Book Standing Orders and Direct Debits by column headings
In maintain Standing Orders and Direct Debits, could the functionality be added to sort the list by any of the column headings? This seems to be available in all list views except this one, and when a company has many standing orders set up, it is...
Created 15 Jun 12:00am by Guest
Direct Debits and Standing Orders
0
Idea Accepted - Gauging Support
3
Vote
Add Archive/Historical File for Cash Book Transactions
Sales, Purchase, Nominal, SOP, POP and Stock all have functionality to Archive Historical Transactions/Orders, yet this functionality is missing from Cash Book
Created 29 Jan 12:00am by Graham Michel
Archive
0
Idea Accepted - Gauging Support
3
Vote
Add credit card to cash book
Within Sage 50 you can when setting up a new bank you can tick to show this is a credit account. This is were we processed our company business cards, Sage 200 does not have this
Created 7 Dec 12:00am by Guest
New/Amend Account
0
Idea Accepted - Gauging Support
3
Vote
Amend the exchange rate when adding a Sales Receipt for a euro customer with a euro bank account
When entering a sales receipt for a euro customer to a euro bank account you can not change the exchange rate. If the currency is set to Euro then the exchange rate is taken from the Accounting system manager. If the currency drop down is set to P...
Created 29 May 12:00am by Guest
Payment/Receipt
0
Idea Accepted - Gauging Support
« First
‹ Prev
1
2
3
4
5
6
7
8
9
Next ›
Last »