Category Archives: Sage 300

Bank Reconciliation Status Report in Sage 300

The Bank Reconciliation Status of SAGE 300 ERP lists the status of all transactions for bank accounts, with the amount stated in the bank’s statement currency. The report includes: For each bank: Lists of transactions and subtotals for all transactions that appear on the Reconcile Statements form. The bank total (the sum of all transactions… Read More »

Automobile Industry| Go green with doc attach feature of Sage 300 ERP

In the recent years due to growth in economy, availability of better infrastructure and increase in the living standard of people there has been proportional growth in the Sales of Automobiles. This has opened plethora of opportunities for ERP usage in the Automobile sector in its back office to maintain their Book of Accounts.  You… Read More »

Quantity entered differs from the Serial number assigned in transaction for Sage 300 ERP v2014

In Sage 300 ERP it is mandatory that the transaction quantity and the serial number should match. Hence for each serialized inventory corresponding serial number is attached. New Stuff:  Implementation of Bar code in Sage 300 ERP But there arise scenario whereby, if we are shipping any FOC item or providing Sample item along with… Read More »