Extended Solution Code Description Latest Version Available AP-1006 (replaced by APCB) Cash Basis Accounting and History Posting 4.40 Product Update 2 AP-1024 (replaced by APMC) Foreign Currency Processing 4.40 Product Update 1 AP-1102 Automatic Next Vendor Number 4.30 AR-1028 Minimum Charge Invoice Creation Utility 4.40 Product Update 2 AR-1034 (replaced by ARCB) Cash Basis Accounting For A/R and S/O 4.40 Product Update 2 AR-1054 AR 1054 Automatic Credit Hold Utility 4.40 Product Update 2 AR-1157 Security For Customer/Salesperson By User Code 4.30 AR-1173 Sales Order Deposits On Receivable Reports 4.40 Product Update 2 GL-1026 (replaced by GLCD) Multi-Company Daily Transaction Register Update 4.40 Product Update 2 GL-1032 Security By G/L Sub Account 4.40 Product Update 2 GL-1034 (replaced by GLMU) Multiple Company General Journal Entry 4.40 Product Update 2 GL-1054 (replaced by GLAC) Multi Company G/L Account Synchronization 4.40 Product Update 2 GL-1056 (replaced by GLMU) 'Due Due To To'/'Due / Due From' From Account Support of GL-1034 4 40 Product Update 2 4.40 GL-1057 (replaced by GLMU) Multiple Company Transaction Journal Entry 4.40 Product Update 2 GL-1058 (replaced by GLMU) Multiple Company Recurring Journal Entry 4.40 Product Update 2 GL-1059 (replaced by GLMU) Multiple Company Allocation Journal Entry 4.40 Product Update 2 GL-1061 Bank Reconciliation Integration with Gen. Journal 4.40 Product Update 2 GL-1062 (replaced by GLMU) Intra-Company Due To/Due From for General Journal 4.40 Product Update 2 IM-1042 Customer Specific Item Numbers 4.40 Product Update 2 IM 1097 (replaced by IMPC) IM-1097 Additional Pricing Tiers For Item Pricing 4 40 Product Update 2 4.40 IM-1114 Expanded Numeric Mask For Price/Cost/Quantity 4.30 IM-1115 Six Decimal Precision For Inventory 4.30 IM-1154 Security by Warehouse 4.30 IT-1008 One Time Ship To Address Creation 4.30 IT-1017 Enhanced Display of Products to Purchase 4.40 Product Update 2 JC-1022 Enhanced Change Order 4.30 MR 1003 ((replaced MR-1003 l d by b MRLA) Q Quarterly l R Reporting i F For LLouisiana i i 4 4.40 40 P Product d U Update d 2 MR-1004 (replaced by MRPA) Quarterly Reporting For Pennsylvania 4.40 Product Update 2 MR-1005 (replaced by MRNY) Quarterly Reporting For New York State 4.40 Product Update 2 MR-1006 (replaced by MRTX) Quarterly Reporting For Texas 4.40 Product Update 2 PO-1037 (replaced by APCB) Cash Basis Accounting and History Posting 4.40 Product Update 2 PO-1062 (replaced by POMC) Foreign Currency Processing 4.40 Product Update 1 PO-1085 Six Decimal Precision For Purchase Order 4.30 PO-1137 Unit Cost Write Back to Drop Ship Sales Order Line 4.40 Product Update 2 SO-1018 Enhanced Promise Date by Line 4.40 Product Update 2 SO-1032 Multiple Customer Deposits ona Sales Order 4.40 Product Update 2 SO-1073 Default Warehouse by Customeror by User ID 4.40 Product Update 2 SO-1121 Multiple Sales Orders On Single Invoice 4.40 Product Update 2 SO-1175 Lot/Serial Distribution from SO Entry 4.40 Product Update 1 SO-1241 Invoices With Multiple p Due Dates 4.40 Product Update p 2 SO-1274 Master Orders To Impact On S/O Bucket 4.40 Product Update 2 SO-1321 Customer Retail Pricing in Sales Order 4.40 Product Update 2 SO-1326 Salesperson Account Substitution 4.40 Product Update 2 SO-1404 Enhanced Shipping Data Entry 4.30 SO-1504 Enhanced Credit Card Processing 4.40 Product Update 2 WO-1015 Extended Decimal Precision In Work Order 4.30 WO-1016 WO 1016 Six Decimal Precision In Work Order 4.30 WO-1035 W/O Number as Trans. Number for Material Issues 4.40 Product Update 2