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Follow the path: Xmc>Financial Management>General Operations>Cash Receipt Entry 



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Click on New>New Group

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Enter Group, Bank Account, Payment Method

Click Save

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NOTE:Group  Group ID syntax will be 2-digit Initials + MMYY MMY + Sequence #Alpha. Ex. TM101701TM10177A, TM101702TM10177B, TM101703.TM10177C

 


Click New

Choose one of the following:

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New Misc Payment (this would be for things like a refund on freight)

 

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Below shows the New Invoice Payment screen 


Enter the Check, Reciept Amount & Customer ID

Click Save


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Click on the Invoice Selection Tab

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NOTE: This is where you would see all the invoice details. This is not showing during the SOP review. By clicking the On Account button this will show up on the aged report that this amount is applied to the customer record but not to a specific invoice yet. This can be applied at a later date, once you know which invoice to put it specifically against. 


Click on the Deposit tab

There is the option to tie in the Sales Order number in this screen

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NOTE: This is for advance payments from customrs customers only.  


Click on the Misc tab

Enter the Reference (if one is available)

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