We have a prospect that has two companies, one base in ROI and one based the UK. The 2nd ROI company does not hold any stock and all sales orders are supplied by the primary UK company. We’ve worked through using intercompany and believe it would work for them to a degree but ideally we would like the Intercompany Sales Order in the UK company to be dispatched to the customer address for the ROI company. If we select to raise the intercompany PO from the ROI company to the UK company as a drop ship PO, we cannot seem to generate the intercompany SO from the “Generate Intercompany Sales Orders” process within the UK company. This means the ROI company would have to theoretically “Receipt” the stock to their ROI warehouse to immediately despatch their customer sales order. This adds another level of admin the customer would like to avoid as they would like the paperwork from the UK company to have to delivery address of the ROI company customer. Any suggestions would be appreciated.
Hi All, one of our customers is wanting to integrate with Amazon in the UK, the native connector is not currently certified for Amazon UK but the customer has Shopify. I was wondering if anyone had any experience with one of the apps at all? I take it shopify gets the amazon order, syncs to acumatica, acumatica processes the order and it does the reverse back to shopify and amazon but any info from people with experience would be appreciated. ThanksMatt
I am trying to import a prepayment linked to a credit card payment taken online through stripe.I have an import file which is the customer, date, value, reference and preauthorisation number for the credit card payment taken online.If I manually enter the payment as a prepayment, enter the values apart from (preauthorisation number) save, then use the action “record card payment”, enter “preauthorisation number” in the “Proc. Center. Tran. Nbr.” and save, it links the credit card payment taken online through Stripe to the acumatica transaction. When I try and import this method, it fails with “The Record Card Payment Button is disabled”could anyone have a look at the import scenario below and let me know if I’m missing anything? i am not sure if there is a timing issue between saving the record and the button being available, if so, is there a way to introduce a delay?version is 22.110.0018Thanks
hi all, i would appreciate if anyone could assist or suggest any fixes. I am trying to check a custom bool field on a sales order split line using a business event triggered by an action off a GI. the GI lists all allocated sales order split lines for a stock item marked as “requiring calibration” on the stock itemi check the line, actions - “Calibrate Line” which triggers a business event with an import scenario as a subscriber. the idea is to check the bow “Calibration Certificate Created” so that they don’t attempt to calibrate lines already calibrated. The event runs and fails with the entry below in the history.If i check the option in the history and “execute” the import runs successfully. If i run the import scenario as a stand alone scenario, it also is successful which points me down a route of an issue with it running as a business event from the action rather than a problem with the import scenario. version is 2021R1 21.105.0023 any suggestions would be appreciated, import
hi All, we have a customer that is looking to access their sharepoint or onedrive document storage through transactions that are getting imported. is there anyway of getting a hyperlink imported so that the link is active and clickable? hoping it would pick up their logged in user access to sharepoint/onedrive we’re looking at importing either to a custom field or an attributes field, whichever is necessary. Thanks Matt
Hi, we’ve just recently upgraded a client to 2021R1 - Build 21.102.0070They use the warehouse management function in the mobile app through both IOS and Andriod devices. when using “Storage Lookup” they scan the warehouse, scan the location and nothing comes through. if they click “Review” they get an error “The view doesn’t exist”this also occurs when using “Pick Pack and Ship” if they click on any of the command buttons during the process - review/reset/scan/set qty anyone else come across this yet or can suggest a solution? have tried as “admin” and tried creating new user, checked the licence still remains, tried in separate company and tenant. have logged a support ticket also
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