4897 results found
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Organisation Settings - Set default date format to DDMMYYYY for South African orgsThe date format for South Africa is incorrect. We use a day month year format, not the American month day year format. Surely Xero can change this so its adaptable for each country and preference? Its not asking a lot of work to have that additional option. But can cause a huge issue when its not what we work with. 5 votes
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Projects - Improved reports & data fields for estimatingWhen developing a quote via Projects, we can add in an estimated cost and then enter a margin to give an estimated expense. However we cannot then retrospectively see what the original supplier cost is and therefore profit expected. Neither does it offer a field to enter who the supplier is. The Project financial reports have a header to show 'estimated cost' but it does not populate this field. The only time a cost is shown is if it is entered as an actual expense. Ideally we would want to see estimated costs, the margin added and the supplier during… 5 votes
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Quotes - Ability to view sent statusTracking Quotes - same ability as Invoices to see if the invoice was sent.. viewed.. accepted or denied would be awesome. 5 votes
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Account Transactions Report - Running Balance calculationCurrently the Account Transactions Report calculates Debits minus Credits which means a positive Running Balance shows in brackets and a negative Running Balance shows without brackets. This is totally contradictory to the usual accepted Accounting Rules. Can this be changed so that the Running Balance is calculated as CREDITS MINUS DEBITS please ? 5 votes
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Multicurrency - Stop showing archived Tracking data in reportsPlease can you add the ability to stop archived tracking codes appearing on P&L reports just because they had a foreign currency item at some point. 
 - Archived tracking codes, with no data in current FY or reporting period appear because years and years ago it had foreign currency trans.
 - The currency L or G are not relevant to the current reporting period. The FY is closed, in some cases years and years ago - there is no need for it to keep appearing.Please stop this happening. With the new 200 tracking code reports now released this problem… 5 votes
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Quotes - Attach PO to approved quotePO to approved quote. My customers want to add their PO number and possibly an attachment upload to an approved quote when they select approve on the link. This should be very simple to fix. Also, then this would give us more capabilities in the approval process by allowing documentation to be added to the quote directly from the customer. This way it will tell me when I invoice them what PO was on the order. Also, they were asking for a place to put notes as well. They have notes on a reject but not approve. 5 votes
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User logins - Client to see a login by the practice, rather than individual usersAs a firm of around 25 accountants, we all may need access to a particular client at any point in time. Currently however, the client is aware of each individual user (i.e. 25 users) rather than an as a practice. It would be therefore be good if Xero operated like Sage or QBs whereby the client only sees the practice as having access to their data. 5 votes
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Fixed Assets - Enable account codes to be edited / updatedCurrently, apart from rolling back depreciation prior to the first asset being allocated to an Asset Type, it isn't possible to update the accounts code without a lot of hassle. For example, a general depreciation code may have been assigned to an Asset Type. If you would like to update this to a specific code, e.g. "Depreciation - Plant & Equipment", it is a difficult process with the potential for unintended changes to prior years. As a result, a common workaround is having to do a journal to reallocate the depreciation amount for each period. However, if you could simply… 5 votes
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AU Timesheets - Record clock in/out time through shared deviceSo at present - as mentioned below it doesn't really make any sense to be logging hours for the day in the morning when staff arrives as every day could be different. I'd really like a central point that staff can log in through - as opposed to using personal phone. it needs to be a clock in and clock out system with automatic break deduction. At the moment we use the Timestation app that the guys clock in and out with a QR code card then i have to run a report each week to manually input into timesheets...… 5 votes
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VAT returns - Filter 'Transaction by VAT' and 'Transactions by tax rate' pagesI would really like to see something similar to the sorting function on the Account Transactions report applied to the Transaction by VAT box and Transactions by tax rate pages on the VAT returns. This would make them so much easier to review, rather than exporting them to excel. 5 votes
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Xero Me | Expenses - Remove Employee from 'Nothing to review'It would be useful to be able to remove employees who are no longer working for the company from the Xero Expenses app. It's annoying having their names pop up under the "Nothing to review" section as it's easy to continue to file expenses under their name even though they no longer work for the company. 5 votes
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Xero Accounting app | Bank feed - Ability to refreshGiven that your bank feeds constantly don’t work, it would be great if they could be refreshed via the app, rather than having to login to a computer. 5 votesHi Tahnee, the process can slightly differ from bank to bank. Is there a specific bank connection you'd find this most useful for? 
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Customer Statement | History & Notes - Include Template NameWe use multiple Statement templates, each of them containing different stages of Credit Control progress. When sending these the Contact Notes are only updated with 'Statement', and not the Statement template name that would give historical context to a Contact on how we have progressed debt. 
 Can you update the Notes to include the Statement Template name, and include an option to make further notes against that activity?5 votes
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Bank reconciliation - Automated Reconciliation Using Client Account NumberXero should automatically recognise a Xero client account number in any bank transfer and allocate those funds to existing invoices in that client's account. This should either just occur automatically when a client payment matches the total on their statement, or alternatively, any payment should simply be allocated to the client's oldest invoices. Currently, when customers pay us for invoices that we have sent them, we search for their name in the “Match” function during the bank feed reconciliation. We then select the invoice(s) that match each payment and reconcile these. There are two major problems with this workflow: - We… 
 5 votes
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Billable Expenses - Retain source currency when invoicing expensesWhen we rebill a transaction to a client that was already paid, if the amount is paid in Euros, for example €5,000, when I issue the next invoice to this customer, the expense automatically shows up to be included in this invoice. The issue is, when I choose this transaction, even though my invoice is also being billed in Euros, the amount is automatically converted to GBP (my company a/c's currency) and then is converted back to Euros so the amount to be rebilled shows us as a different figure either positively or negatively in my favour depending upon the… 5 votes
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Xero central | My cases - Ability to search previous casesBeing able to search prior support cases via a 'search' function would be very time saving. The process of scrolling through prior cases is very time consuming. Searching only by Open/Closed cases isn't overly useful. 5 votes
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Reports - Voided and Deleted Invoices deselected by defaultI deleted and voided invoices for a reason. I don't want to see them again, yet they show up by default on a number of reports. This is in addition to making the invoice number unusable when invoices are voided. None of this makes sense to me and I shouldn't need to make a custom version of every report that seems to included voided/deleted data by default. 5 votes
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Chart of Accounts - Ability to set a default tax rate for new accountsBe able to set an automatic default tax rate when new sales or expense accounts are created. In our country, the sales tax rate changed, and by default when I create a new account, it gives the old tax rate. Unless I change the Default tax rate for this specific new account to the current tax rate, I will be given the old tax rate by default. This has given us accounting problems that are sometimes hard to trace when one doesn't change the tax rate manually each time a new account is created. 5 votes
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Bank transactions - Ability to post payments without a contactRequire the ability to post net wages, loans, drawings without a contact. This information should not be accessible in the customer/supplier ledger/contact section. 5 votesHi Charlotte, can you expand a little on your needs or use cases for your idea here? A wage would generally be connected to an employee in payroll. Managing a loan is a little different and we have suggestion of how to do this in our help here, and when it comes to drawings and introducing cash to the business this would generally relate to a specific shareholder and would be recorded as Spend or receive monies, if you'd rather not specify the contact you may want to set up a generic contact that you could code these sort of transactions too. 
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Invoices - Option to include credit note PDF when emailing invoicesIf you send an Invoice per mail to a client, a credit note that is linked to the invoice should be attached to the mail with the invoice too. 
 Currently, you have to send two separate mails.
 If you send an invoice, you have several check boxes like "add invoice as pdf". There should be the option "add credit not as pdf".5 votes
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