Difference between revisions of "How do I account for retained deposits?"

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==More Information==
 
==More Information==
*Once you have [[How do I refund a vehicle deposit?|cancelled the sales order and chosen not to refund the deposit]], the amount held on the customers account will need to be payed off to a relevant nominal centre using {{Menu|Sales Ledger|Receipts}}.
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{{Note|text=Once you have [[How do I refund a vehicle deposit?|cancelled the sales order and chosen not to refund the deposit]], the amount held on the customers account will need to be payed off to a relevant nominal centre using {{Menu|Sales Ledger|Receipts}}.}}
  
 
Go to {{Menu|Sales Ledger|Receipts}}.
 
Go to {{Menu|Sales Ledger|Receipts}}.

Revision as of 14:02, 13 April 2010

Summary

The following article explains how to deal with any retained deposits for vehicle sales orders that have fallen through and for which you are keeping the deposit.

More Information

Once you have cancelled the sales order and chosen not to refund the deposit, the amount held on the customers account will need to be payed off to a relevant nominal centre using " Sales Ledger Receipts".

Go to " Sales Ledger Receipts".

  • At "Customer:" type in the Customer's account code if known, or search for a Customer.
  • Select the document for which you wish to pay off.
  • Press <F> and <Enter> to pay the amount in full.
  • Press <Esc> to enter the payment details.
  • Enter an applicable comment e.g. 'Deposit Kept'.
  • In the "Centre", enter an appropriate Nominal Centre code, or create one.
  • Press <Esc>.
  • Choose [Accept] to post the payment.


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Keywords AND Misspellings
deposit, kept, retained