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Cash Receipts section.
9.2.3.1. New Cash Receipt
Cash Receipts may be applied to either an open Invoice or an open
miscellaneous Debit Memo. To enter a Cash Receipt, select the "Enter Cash
Receipt" option. The following screen will appear:
When entering a Cash Receipt, you are presented with the following
options:
- Customer #
-
Enter the Customer Number of the Customer whose Cash has been
received.
The browse button located to the right of the field leads to a
searchable Customers list. You may also access this list using the
keyboard shortcut "CTRL + L". Once a Customer Number is entered, the
Customer name and billing address will display. Select the "?" or "$"
symbol next to the browse button to view Customer information for the
specified Customer. If a Customer's credit is "In Good Standing," the
button will feature a black question mark ("?") icon. If the icon
turns to an orange dollar sign ("$"), the Customer's credit Status is
"On Credit Warning." A red dollar sign ("$") indicates the Customer's
credit Status is "On Credit Hold."
Tip
If you receive an overpayment from a Customer, you can go ahead and
apply the full Payment to an Invoice—even if the amount exceeds the
Invoice amount. In these cases, the system will automatically generate an
unapplied Credit Memo for the Customer, in the overpayment amount.
- Amount Received
Specify the amount of Cash received from the Customer.
- Misc. Applications
Displays the amount of any miscellaneous distribution(s).
- Amount Applied
Displays the amount of Cash that has been applied to the
specified Customer's Invoice(s).
- Balance
Displays the difference between the amount to be applied and the
amount applied.
- Funds Type
Specify the type of the Cash Receipt. Choose from following
Funds Types: Check, Certified Check, Master Card, Visa, American
Express, Discover Card, Other Credit Card, Cash, Wire Transfer, or
Other.
Note
If a Credit Card is being used and your site is configured to
process Credit Cards from the system, then you must select a valid Credit
Card using the "Credit Card" tab below. The charge transaction will begin
processing once you select the SAVE button.
- Check/Document #
Use this field to enter the Customer's Check Number, transaction
number, Credit Card number, or any other Document Number associated
with the Cash Receipt.
- Post to
Select the Bank Account you want to post the Cash Receipt to.
The Asset Account used for the selected Bank Account is specified on
the Bank Account master.
Tip
If your site uses a unique Bank Account for receiving Credit Card
payments, make sure to select the appropriate Bank Account when entering
payments from a Credit Card.
- Distribution Date
Specify the date of the Cash distribution. By default, the
current day's date will appear.
- Apply Balance As
-
If your system is configured to enable Customer Deposits, you
may select one of the following options for applying any unapplied
Cash Receipt balance:
- Credit Memo
Select to treat the unapplied balance as a miscellaneous
Credit Memo, which may be applied to A/R open items at a later
time.
- Customer Deposit
Select to treat the unapplied balance as a Customer
Deposit. The Deferred Revenue Account specified on the A/R
Account Assignments screen will be used. A Credit Memo will also
be created, allowing the Customer Deposit to be applied to A/R
open items at a later time.
- Use Alternate A/R Account From Sales Category
-
Select one of the following optional A/R Accounts:
- Sales Category
Specify a Sales Category whose A/R Account option you want
to use instead of the default A/R Account.
Note
If an alternate A/R Account is not specified, the system will use
the default A/R Account specified for the Customer Type under A/R Account
Assignments.
- Find Document #
To search for an Invoice in the Open Items display, begin typing
an Invoice Number into this field. As you type, the list will
automatically scroll toward the Invoice Number you are typing. You can
also search for Invoices manually by scrolling through the
list.
- Open Items
Display lists A/R open items (i.e., Invoices and Debit Memos)
for the specified Customer.
- Misc. Applications
Display lists miscellaneous distributions.
To the far right of the screen, the following buttons are
available:
- CANCEL
Closes the screen without entering a new Cash Receipt, returning
you to the application desktop.
- SAVE
Saves the Cash Receipt record. If your site is configured to
process Credit Cards from the system, the charge transaction will
begin processing when you select the SAVE button.
Tip
You may select multiple open Items simultaneously by highlighting
them using your mouse—or a combination of your mouse and either the SHIFT
or CTRL keys.
- APPLY
Highlight an open Item and then select this button to apply an
amount to an individual open Item.
- APPLY LINE BAL.
Highlight an open Item and then select this button to apply cash
to the balance for the line.
- CLEAR
Highlight an open Item and then select this button to remove any
amount applied toward the open Item.
- APPLY TO BALANCE
Select to apply the available balance to A/R open items. If the
applied balance exceeds the amount due on an open Item, the remaining
balance will be applied to the next open amount.
Tip
You may disable the APPLY TO BALANCE button for your site if you
wish, by selecting the appropriate option in the system-level
configuration.
- ADD
Select to add a miscellaneous distribution.
- EDIT
Enables you to edit highlighted miscellaneous distributions. The
edit screen is the same as that for creating a new miscellaneous
distribution—except that when editing, the fields will contain
miscellaneous distribution information. Double-clicking on a
miscellaneous distribution will also bring you to the editing
screen.
- DELETE
Highlight a miscellaneous distribution and then select this
button to remove the distribution from the list.
If a Customer is paying with a Credit Card, select the "Credit Card"
tab to specify which Credit Card to use. The following screen will
appear:
Note
Once all the required information has been entered and a valid
Credit Card has been selected, the charge transaction will begin
processing when you select the SAVE button.
When selecting a Credit Card to use for processing a Cash Receipt, you
are presented with the following options:
- Credit Card
Display lists Credit Card information for the specified
Customer.
To the far right of the screen, the following buttons are
available:
- NEW
Opens screen for entering new Credit Card information for the
Customer.
- EDIT
Enables you to edit highlighted Credit Cards. The edit screen is
the same as that for entering new Credit Card information—except that
when editing, the fields will contain Credit Card information.
- VIEW
Highlight a Credit Card and then select this button to reach a
read-only view of the "Edit" screen. Double-clicking on a Credit Card
will also bring you to the view screen.
- MOVE UP
Highlight a Credit Card and then select this button to move the
Credit Card up in the sequence of Credit Cards. Sequence numbers are
automatically adjusted to reflect the change in position.
- MOVE DOWN
Highlight a Credit Card and then select this button to move the
Credit Card down the sequence of Credit Cards. Sequence numbers are
automatically adjusted to reflect the change in position.
- CVV Code
Enter the Card Verification Value (CVV) Code found on the back
of the specified Credit Card. This may be an optional feature at your
site. Contact your Systems Administrator for details.
To add Notes to a Cash Receipt, select the "Notes" tab. The following
screen will appear:
When entering Notes related to a Cash Receipt, you are presented with
the following options:
- Notes
This is a scrolling text field with word-wrapping for entering
Notes related to the Cash Receipt.
9.2.3.1.1.
Cash Receipt Application
To apply a Cash Receipt to an individual open A/R Item, select the
APPLY button. The following screen will appear:
Tip
You will not be able to post a Cash Receipt if the amount applied is
greater than the Cash Receipt total.
When applying a Cash Receipt to an individual open Item, you are
presented with the following options:
- Customer #
Displays the Customer Number of the Customer selected on the
previous screen. The Customer name and billing address will also
display. Select the "?" symbol to view Customer information for the
specified Customer.
- Doc. Number
Displays the Document Number associated with the Item.
- Doc. Type
Displays the Document Type of the Document.
- Doc. Date
Displays the Document's origination date. In the case of a Sales
Order, the Document date is the date when the Sales Order is
created.
- Due Date
Displays the date payment is due. In the case of a Sales Order,
billing terms are defined in the Sales Order master.
- Open Amount
Displays the amount due for the open Item.
- Amount to Apply
Specify the Cash Receipt amount to apply to the open Item. You
may not apply more than the open amount.
To the far right of the screen, the following buttons are
available:
- CANCEL
Closes the screen without applying a new Cash Receipt, returning
you to the application desktop.
- SAVE
Applies the Cash Receipt to the open Item.
9.2.3.1.2. Misc. Cash Receipt Distribution
To add a miscellaneous distribution, select the ADD button. The
following screen will appear:
When adding a miscellaneous distribution, you are presented with the
following options:
- Account
Select an Account for the miscellaneous distribution.
- Amount to Distribute
Specify the amount to distribute to/from the specified
Account.
- Notes
This is a scrolling text field with word-wrapping for entering
Notes related to the miscellaneous distribution.
To the far right of the screen, the following buttons are
available:
- CANCEL
Closes the screen without applying a miscellaneous distribution,
returning you to the application desktop.
- SAVE
Creates the miscellaneous distribution record.
Note
If your system is configured to use Credit Cards, the "Credit Card"
tab will be visible. This tab will not be visible if your system is not
configured to use Credit Cards.
9.2.3.2.
Cash Receipt Edit List
To view and edit unposted Cash Receipts, select the "Cash Receipt Edit
List" option. The following screen will appear:
The Cash Receipt Edit List displays information on all unposted Cash
Receipts, including Customer name, distribution date, and distribution
amount.
Note
The Cash Receipt Edit List may include Cash Receipts generated as a
result of post-authorized Credit Card charges.
To the far right of the screen, the following buttons are
available:
- CLOSE
Closes the screen, returning you to the application
desktop.
- PRINT
Runs the report associated with this screen.
- NEW
Opens screen for creating a new Cash Receipt.
- EDIT
Enables you to edit highlighted Cash Receipt. The edit screen is
the same as that for creating a new Cash Receipt—except that when
editing, the fields will contain pre-loaded Cash Receipt information.
Double-clicking on a Cash Receipt will also bring you to the editing
screen.
Note
When editing a Cash Receipt, you may notice the "Credit Card" tab is
not visible. This is an intentional design to prevent users from altering
Credit Card transactions which have already been processed.
- VIEW
Highlight a Cash Receipt and then select this button to reach a
read-only view of the "Edit" screen.
- DELETE
Highlight a Cash Receipt and then select this button to remove
the Cash Receipt from the edit list.
Right-clicking on a Cash Receipt in the Cash Receipt list enables you
to select from the following menu options:
- Edit
Enables you to edit highlighted Cash Receipt. The edit screen is
the same as that for creating a new Cash Receipt—except that when
editing, the fields will contain pre-loaded Cash Receipt information.
Double-clicking on a Cash Receipt will also bring you to the editing
screen.
- View
Highlight a Cash Receipt and then select this button to reach a
read-only view of the "Edit" screen.
- Delete
Highlight a Cash Receipt and then select this button to remove
the Cash Receipt from the edit list.
-
Post
Select to post the specified item.
-
Export the data displayed on the screen into a plain-text,
TAB-delimited file. This file may subsequently be imported into a
spreadsheet or other office tool.
9.2.3.3.
Post Cash Receipts
To post unposted Cash Receipts, select the "Post Cash
Receipts" option. The following screen will appear:
When posting unposted Cash Receipts, you are presented
with the following options:
-
Print Cash Receipts Journal
Select to print the Cash Receipts Journal.
To the far right of the screen, the following buttons
are available:
- CANCEL
Closes the screen without posting unposted Cash Receipts,
returning you to the application desktop.
-
POST
Posts unposted Cash Receipts.
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