Payment on Account at Point of Sale

In the sales screen select Account Payment, enter your ID and search for an account in the Customer field. Enter the payment type, as you would for a normal sale. You can also type in a message to appear with the payment.

A receipt will print with the payment.

Cash out with payment

If the customer would like to draw out cash with the account payment:

For example

Customer wants to pay $40 off their account and withdraw $30 cash.

The Sales screen will show:

You can see the Account Payment, and the required Cash Out for that sale.

Processing Direct Credits

You can set up different payment types in the Payment Type Utility. Type Payment Type Utility into the search box on the Home Screen. Click New and give your payment type a name, for example Auto Payment, select the Payment Type, Direct Credit. This payment type will now show in your Account Payment screen.

You should consider using a non-POS unit to process direct credit payment. This will help keep these transactions separate from your End of Day reports for Point-of-Sale computers.

Use the Account Payment button in the Sales screen and select your chosen payment type.

When entering in payments from customers made on an account, always use the Account Payment button in the Sales screen.

For printing the End of Day report, you only need to have the account payments ticked in the End of Day options.

Received on a/c with Dispensary-only system

Dispensary-only systems will not have a computer on the counter, so collect a/c payment cheques or notes of payment and enter all payments as a batch when convenient using the 'journal entry mechanism on any dispensary unit.

If required, an explanation can be entered.

Journal entries for payments will be journaled in the current month.

Avoiding DCs/APs affecting End of Day balance.

Direct Credit payments will not affect the cash balance on your POS unit. They will affect the overall End Of Day balance. To avoid this, you can follow some of these tips: