Recording Debtor Payments |
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In Retail mode, the Till (and Till Reconciliation) can be used to record debtor payments and refunds under the following conditions: ▪The payment type being used for the payment or refund is set up to allow negatives via Tools > Setups > Banking > Payment Type. ▪Users with the correct security rights to access debtor records will be able to open and record payments in the normal fashion via a retail workstation. Payments recorded via a retail workstation will appear in the Till Reconciliation screen. Similarly, any refunds to debtors made via a retail workstation will show as negative takings in the Till. ▪Automatic calculations for tendered change cannot be made by Jim2 within the debtor record – record the paying now amount, then calculate any change required manually.
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