Need more, need help now?
- - - - - - - - - - - - - - - - - - pay-as-you-go support - no contract - tenth of an hour billing - expert help - fast service - no call queues
Need integration?
- - - - - - - - - - - - - - - - - - with your shipping system - website - invoicing system - crm - cms - manufacturing - order import - back to back orders..
Need a report?
- - - - - - - - - - - - - - - - - - Excel reporting that pulls data from Sage - custom layouts - layouts that change adapt to your brands and/or for drop shipping.
Want web hosting?
- - - - - - - - - - - - - - - - - - Your own domain name - email - a shop - wordpress - woo commerce - ticket systems - help desks - forums - portals
Sage 50 general help forum - Free help and support for all general issues
-
Louise
- User

- Posts: 32
- Joined: 13 May 2006, 10:33
Post
by Louise » 31 Jan 2007, 09:58
Hi, sorry me again!
This is at work - we give a money back guarantee and the customer was sent a credit note for (£329.00). However the customer pays us by Standing Order and therefore would not be able to take the credit. So I said I would send them a cheque instead, but I had already put the credit note on their account. I realise I must put a dummy invoice on their account to clear the credit note but do I use the same nominal code as the credit note or shall I use mispostings - and when I enter the cheque as a payment from the bank which nominal shall i use, also is it just these two postings I do?

-
brucedenney
- Site Admin

- Posts: 4664
- Joined: 28 Feb 2006, 09:56
- Sage Version: v30 UK/Europe/Africa
Post
by brucedenney » 05 Feb 2007, 13:11
I think you should find that you now have a credit balance on the Customers account (ie negative value) what you want to to is refund this credit balance to the customer.
In Version 2007 there is a new transaction to do this, but I think you are on an earlier version.
The solution is a three part process.
1/ To a bank payment to the mispostings account for the customer (T9 no Vat).
2/ Do an invoice to the customer against the mispostings account to represent the cheque (T9) no vat.
3/ Do a Zero value customer receipt and match the invoice against the credit balance.
For just about anything Sage :- Discount subscriptions, pay-as-you-go support, application integration, reports, layouts, linked excel spreadsheets, analysis or any other help making life with sage easier/less time consuming
Contact me.
-
Louise
- User

- Posts: 32
- Joined: 13 May 2006, 10:33
Post
by Louise » 06 Feb 2007, 15:01
So in the Bank I post the cheque going out using the mispostings code then post an invoice to the customers account using the mispostings code to clear the credit note is that right?

-
brucedenney
- Site Admin

- Posts: 4664
- Joined: 28 Feb 2006, 09:56
- Sage Version: v30 UK/Europe/Africa
Post
by brucedenney » 06 Feb 2007, 15:17
Spot on
For just about anything Sage :- Discount subscriptions, pay-as-you-go support, application integration, reports, layouts, linked excel spreadsheets, analysis or any other help making life with sage easier/less time consuming
Contact me.
Who is online
Users browsing this forum: No registered users and 2 guests