Customer Accounts
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Is it possible to charge a sale to a customer account?
I am currently using your software to run a scout tuck shop, and we allow each scout up to 50p credit. Can this be done using pos, rather than having to have a separate book into which the owings are written.
Dan
I am currently using your software to run a scout tuck shop, and we allow each scout up to 50p credit. Can this be done using pos, rather than having to have a separate book into which the owings are written.
Dan
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Customers accounts
Hi Dan,
I own a Pub and Restaurant and have been using POS for about 2 years. To set up "accounts " for customers who owe me money , I do the following:
1) Set up Customers as "stock" in the stock table with stock numbers (these will be their account numbers) and items price as 1.00 . no tax.
2)Set up POS to accept "check payments"
3)In the "checks" section ."government issuing licence required".F5 acceptable governments list , enter Customers names and "stock" numbers. Also set to phone number required.
4)When a customers orders , ring up as a purchase, payment as Checks. Their names will now appear in the "governments acceptable list". Print out receipt and get the customer to sign.
5)At the closing of the Register (important prior to actually closing down the register, I do mine daily ) enter the cash totals owed on the purchase receipts into the "Receiving" program, update via "receiving" into POS. Rename the *.rcv file.(this will ensure you have a copy filed on your hard drive).
6)The cash amount owing by the customers will appear in the stock table as an "inventory"
7)When the customer pays his account ( the figure in the stock table) the purchase is rung up as e.g.: R57.80 in the "Quantity" input .
8)This again before the actual closing of the register , do a "Return" via POS for the cash totals on the "Paid" (which were entered as Quantities) receipts ,disposing of the items (cash Totals)
9)Now do a "Cash Pull" for the Total cash amounts which were returned, to balance the cash sales.
10) The signed Receipts are filed and returned to the customer when he settles the amounts owed by him.
I safe guard myself by entering the receipt transaction numbers and amounts into a spread sheet incase any of the receipts are lost or miss-placed.
I only accept cash and this method works very well. I have tried to explain myself as best as I can, anything you wish to ask please do.I hope this can help you.
Robert Nel
Durban
South Africa
nelrr@lantic.net
I own a Pub and Restaurant and have been using POS for about 2 years. To set up "accounts " for customers who owe me money , I do the following:
1) Set up Customers as "stock" in the stock table with stock numbers (these will be their account numbers) and items price as 1.00 . no tax.
2)Set up POS to accept "check payments"
3)In the "checks" section ."government issuing licence required".F5 acceptable governments list , enter Customers names and "stock" numbers. Also set to phone number required.
4)When a customers orders , ring up as a purchase, payment as Checks. Their names will now appear in the "governments acceptable list". Print out receipt and get the customer to sign.
5)At the closing of the Register (important prior to actually closing down the register, I do mine daily ) enter the cash totals owed on the purchase receipts into the "Receiving" program, update via "receiving" into POS. Rename the *.rcv file.(this will ensure you have a copy filed on your hard drive).
6)The cash amount owing by the customers will appear in the stock table as an "inventory"
7)When the customer pays his account ( the figure in the stock table) the purchase is rung up as e.g.: R57.80 in the "Quantity" input .
8)This again before the actual closing of the register , do a "Return" via POS for the cash totals on the "Paid" (which were entered as Quantities) receipts ,disposing of the items (cash Totals)
9)Now do a "Cash Pull" for the Total cash amounts which were returned, to balance the cash sales.
10) The signed Receipts are filed and returned to the customer when he settles the amounts owed by him.
I safe guard myself by entering the receipt transaction numbers and amounts into a spread sheet incase any of the receipts are lost or miss-placed.
I only accept cash and this method works very well. I have tried to explain myself as best as I can, anything you wish to ask please do.I hope this can help you.
Robert Nel
Durban
South Africa
nelrr@lantic.net
Robert R Nel
Sounds a little bit complicated 
I think ive found a solution now of putting owings through as cash, and maintaining credit in a microsoft access database running at the same time on the other half of the screen.
However, at the next leader meeting i might suggest that we abandon credit, as we have a major hassle trying to chase people up for the money they owe!!!
Would still like to do vouchers though. If POS cant do them i might incorporate it into the credit database.
Dan

I think ive found a solution now of putting owings through as cash, and maintaining credit in a microsoft access database running at the same time on the other half of the screen.
However, at the next leader meeting i might suggest that we abandon credit, as we have a major hassle trying to chase people up for the money they owe!!!
Would still like to do vouchers though. If POS cant do them i might incorporate it into the credit database.
Dan
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Accounts
Formicafun,
It may sound complicated but wife and I balance the till and stock everyday using this method. The bar Ladies are able to accept "account" payments and allow "tabs" in my absence using this method without contacting me in the middle of the night for a "tab" request .
Robert Nel
It may sound complicated but wife and I balance the till and stock everyday using this method. The bar Ladies are able to accept "account" payments and allow "tabs" in my absence using this method without contacting me in the middle of the night for a "tab" request .
Robert Nel
Robert R Nel
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