Difference between revisions of "How do I Finance Clothing Items?"

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(Created page with "{{Review}} == Summary == This article will guide you through financing out items of clothing to a finance company for a customer. == More Information == In order to finance clot...")
 
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{{Review}}
 
 
== Summary ==
 
== Summary ==
This article will guide you through financing out items of clothing to a finance company for a customer.
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This article will guide you through selling items of clothing on finance to a customer.
  
 
== More Information ==
 
== More Information ==
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* To create a Finance Control Centre you will need to:
 
* To create a Finance Control Centre you will need to:
* Go to {{Menu|Nominal Ledger|Maintenance Options|Centre Maintenance|Insert/Amend/Delete Centres}}.
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* Go to {{Menu|{{NL}}|Maintenance Options|Centre Maintenance|Insert/Amend/Delete Centres}}.
 
* Click {{Button|Add}} or press {{KeyPress|F6}}.
 
* Click {{Button|Add}} or press {{KeyPress|F6}}.
* On {{DataPrompt|Code:}} enter in a code for the Finance Company. ''i.e. - 19851''
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* On {{DataPrompt|Code:}}, enter a nominal code for the Finance Company e.g. {{DataValue|19851}}.
* On {{DataPrompt|Name:}} enter a name for the Finance Company. ''i.e. - Black Horse Clothing Fin. Ctrl''.  
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* On {{DataPrompt|Name:}}, enter a name for the Finance Company e.g. {{DataValue|Black Horse Clothing Fin. Ctrl}}.  
* Set the {{DataPrompt|B/S}} to be {{DataValue|Asset/Liability}}.{{Tip|iconsize=small|text=You could enable the {{DataPrompt|Reconciled?}} check box if you want to reconcile the amounts going into the centre.}}
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* Set the {{DataPrompt|B/S}} to be {{DataValue|Asset/Liability}}. Leave the {{DataPrompt|P/L}} alone.
* If you sub divide your reports by department, then you may group certain centres together, if so enter this into the:
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{{Tip|iconsize=small|text=You could enable the {{DataPrompt|Reconciled?}} check box if you want to reconcile the centre.}}
**{{DataPrompt|Group:}}.
 
**{{DataPrompt|Division 1:}}.
 
**{{DataPrompt|Division 2:}}.
 
**{{DataPrompt|Division 3:}}.
 
**{{DataPrompt|Division 4:}}.
 
 
* Once complete click on {{Button|Done}} or press {{KeyPress|Esc}} and click {{Button|Accept}}.
 
* Once complete click on {{Button|Done}} or press {{KeyPress|Esc}} and click {{Button|Accept}}.
  
 
=== Selling Clothing Out on Finance ===
 
=== Selling Clothing Out on Finance ===
Now that you have created you centre(s) and have had agreed with the customer and finance company that you will be selling clothing items to the customer on finance and have filled in all forms necessary for the finance company you will need to:
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Now that you have created the centres, agreed terms with the customer and finance company and filled in all the forms necessary for the finance company you will need to:
* Create a Sell the clothes out over the counter as you would do [[Selling Parts over the Counter|normally]] making sure that the items are being sold to the customers account, not to be sold to a "Cash Sale Account".
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* Sell the clothing over the counter as you would do [[Selling Parts over the Counter|normally]] making sure that the items are being sold to the customer's account, not just to a Cash Sale account.
* On the ''"Payments"'' screen enter in any payment being taken from the customer. ''i.e. - Invoice total is £1200, Customer is paying £200 via Credit Card, £1000 is being done on Finance. So you would ender in £200 against Credit Card payment option.''
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* On the {{DataPrompt|Payments}} screen, enter any payment being taken from the customer. For example, Invoice total is £1200, Customer is paying £200 on Credit Card and £1000 is being financed. Enter £200 against the {{DataPrompt|Credit Card}} payment option.
* Now against the {{DataPrompt|K}} enter in the centre you created for the relevant finance company. ''i.e. - 19851''
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* Now against the prompt {{DataPrompt|K}}, enter the centre you created for the relevant finance company, e.g. {{DataValue|19851}}.
** Enter in the amount to be financed in the {{DataPrompt|Paid}} field. ''i.e. - As above this would be £1000.''
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** Enter the amount to be financed in the {{DataPrompt|Paid}} field. Using the example above, this would be {{DataValue|£1000}}.
** Against the {{DataPrompt|Comment}} field enter in either the Reference for the Finance from the Finance Company and/or the customers account code. ''i.e. - ABC123XY-SMI001.  "ABC123XYZ" would be the reference code from the finance company and "SMI001" wuld be my customers account code.'''{{Information|iconsize=small|text=The reason for doing this is to make your life easier when auditing the payments done via this centre and for whom/what they were done for.}}
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** In the {{DataPrompt|Comment}} field, enter either the reference for the finance from the Finance Company and/or the customer's account code, e.g. {{DataValue|ABC123XY-SMI001}}{{DataValue|ABC123XYZ}} would be the reference code from the finance company and {{DataValue|SMI001}} would be the customer's account code.
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{{Information|iconsize=small|text=The reason for doing this is to make your life easier when auditing the payments done via this centre and for whom/what they were done.}}
 
*Once happy complete the transaction as per [[Selling Parts over the Counter|normal]] by clicking {{Button|Post}} or pressing {{KeyPress|F7}}.
 
*Once happy complete the transaction as per [[Selling Parts over the Counter|normal]] by clicking {{Button|Post}} or pressing {{KeyPress|F7}}.
  
This will pay the invoice off the customers account and put the amount into the Finance Company Clothing Finance Contra Centre, this will need to be dealt with at a later date when the Finance Company pays you. ''See [[How do I Deal with Settlement of Financed Clothing?|here]] for more details.
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This will pay the invoice off the customer's account and put the amount into the Finance Company Clothing Finance Control Centre. This will be cleared off when the Finance Company pays you. ''See [[How do I Deal with Settlement of Financed Clothing?|here]] for more details.
  
 
== See Also ==
 
== See Also ==

Revision as of 14:36, 29 April 2013

Summary

This article will guide you through selling items of clothing on finance to a customer.

More Information

In order to finance clothing items out of the system you will need to:

Create a Finance Company Control Centre

You will need to create a new Nominal Centre for each Finance Company that you will be dealing with when issuing finance on Clothing items.

  • To create a Finance Control Centre you will need to:
  • Go to " Nominal Ledger Maintenance Options Centre Maintenance Insert/Amend/Delete Centres".
  • Click [Add] or press <F6>.
  • On "Code:", enter a nominal code for the Finance Company e.g. '19851'.
  • On "Name:", enter a name for the Finance Company e.g. 'Black Horse Clothing Fin. Ctrl'.
  • Set the "B/S" to be 'Asset/Liability'. Leave the "P/L" alone.
You could enable the "Reconciled?" check box if you want to reconcile the centre.
  • Once complete click on [Done] or press <Esc> and click [Accept].

Selling Clothing Out on Finance

Now that you have created the centres, agreed terms with the customer and finance company and filled in all the forms necessary for the finance company you will need to:

  • Sell the clothing over the counter as you would do normally making sure that the items are being sold to the customer's account, not just to a Cash Sale account.
  • On the "Payments" screen, enter any payment being taken from the customer. For example, Invoice total is £1200, Customer is paying £200 on Credit Card and £1000 is being financed. Enter £200 against the "Credit Card" payment option.
  • Now against the prompt "K", enter the centre you created for the relevant finance company, e.g. '19851'.
    • Enter the amount to be financed in the "Paid" field. Using the example above, this would be '£1000'.
    • In the "Comment" field, enter either the reference for the finance from the Finance Company and/or the customer's account code, e.g. 'ABC123XY-SMI001'. 'ABC123XYZ' would be the reference code from the finance company and 'SMI001' would be the customer's account code.
The reason for doing this is to make your life easier when auditing the payments done via this centre and for whom/what they were done.
  • Once happy complete the transaction as per normal by clicking [Post] or pressing <F7>.

This will pay the invoice off the customer's account and put the amount into the Finance Company Clothing Finance Control Centre. This will be cleared off when the Finance Company pays you. See here for more details.

See Also


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Keywords AND Misspellings
Finance, Clothing, Items, Sell, Invoice, Company, Item, Financing