Point Of Sales. Below is the step to enable Optimum Point Of Sales module. Step 1. As shown in the figure, click the menu from the ribbon bar.

Similar documents
TurboCASH Business Class

Resto POS. Quick User Guide. Tel. Phone:

Credit Card Invoices and Purchase Transfers

POS SETTING TASK TYPES

ClubConnect Accounts Payable Understanding Invoice and Check Types for Easy Processing

Chapter 0 - Index. USER MANUAL v2.1 DSBS BUSINESS MANAGEMENT SYSTEM. Presented by Deepsky Technology

Register App Training Guide

Employee Permissions CRE

Accounts Payable. Page 1

Welcome to the topic on purchasing items.

POS Support Manual 01/10/2013

SAMPLE - Not to be Reproduced. designed by Regina Rexrode

Foreword. Sales Associates Managers

P O S U S E R G U I D E with I N T E G R A T E D E E E. Magenta Retail Support. Australia New Zealand

CHAPTER 9 - POINT OF SALE

Lesson Twelve Customer Receipts & Other Income Receipts

1 About Deskera ERP 9. 2 Getting Started with Deskera ERP 10

MSI Cash Register Version 7.5

Accounts Payable Setup & Processing

HeadMaster Billing for Schools

HARBORTOUCH ECHO USER GUIDE HARBORTOUCH SUPPORT LINE:

Point-N-Sell Toodyay Bottlemart

Enterprise by HansaWorld Point of Sales

BILLING / INVOICING MODULE Version 12

Revonu Retail Revonu Retail Manual

Employee Permissions - RPE

Aviation Specialties Unlimited 2. Sales Order-Non-Contract Sale of Goods (GSA)

Penny Lane POS. Basic User s Guide

WasteMan 2G. Key Features. Newcastle Weighing Services Pty Ltd. Prepared by. Office: (02) Fax: (02)

UAB GA End User Award Status Inquiry Invoice Review

AccStar Integrated Accounting System

Managing Point of Sale Sessions

NOTE: Close any security window that pops up (McAfee, MalwareBytes, etc.)

QUICKBOOKS ONLINE PLUS: A COMPLETE COURSE Chapter 4: Payables and Purchases

Booklet 3. Guidance Notes. Sales Ledger

Implementation Outline

INI POS (RETAIL) USER MANUAL

ReCPro TM User Manual Version 1.15

Quick Reference Guide Welcome to the GBEX Marketplace

MSI Accounts Payable Version 7.5

ONE-POS Quick Manual: Version 0606

80219: Financials I in Microsoft Dynamics AX 2012

Amicus Small Firm Accounting: Migrating from Another Accounting System

Using the Commonwealth Bank EFTPOS terminal with QuickPOS

Click to begin. Promotions (Advanced)

v10.5 Enhancements List

efinance Plus Instructions

Customers POS User Guide

Accounts Payable Users Guide

Accounts Receivable (AR)

Release Notes for version

SQL ACCOUNT ADVANCE MODULE USER GUIDE

MYOB Exo POS. User Guide

QUICKBOOKS 2018 STUDENT GUIDE. Lesson 2. Setting Up

CashierPRO Retail Systems Inc. Release Note

Customers and Sales Part II

WELCOME TO THE WEB SHIPPING USER GUIDE

TRAINING GUIDE. Lucity Mobile Warehouse

Customers and Sales Part I

Performing End of Day

Customers and Sales Part II

QUICKBOOKS ONLINE PLUS: A COMPLETE COURSE Chapter 7: Payables, Purchases, and Inventory

Scrap Dragon X Version Release Notes

English ELECTRONIC CASH REGISTER CAISSE ENREGISTREUSE ELECTRONIQUE ER-A347 ER-A347A MODEL MODELE INSTRUCTION MANUAL MANUEL D INSTRUCTIONS

Financials I in Microsoft Dynamics AX 2012

EXAM - MB Microsoft Dynamics AX 2012 R3 Retail exam. Buy Full Product.

Point of Sale Quick Reference

Accounts Payable PARTICIPANT WORKBOOK

Q U IC K BOOKS 2016 STUDEN T GUIDE. Lesson 2. Setting Up

Q U IC K BOOKS 2017 STUDEN T GUIDE. Lesson 2. Setting Up

Getting started

Financials Module: Accounts Payable

Entrepreneur. Getting Started

User Manual. Before plugging, starting or setting up your new terminal for the point of sale, please read carefully this User Manual

Retail establishments often need to modify an invoice.

mini-pos Daily receipts can be accumulated by user, cash drawer, or store. Reconciliation of the receipts can be reported.

Recording Over the Counter Sale Invoices

INTRODUCTION TO QUICKBOOKS PRESENTED BY SHARPER TRAINING SOLUTIONS

Nexsure Training Manual - CRM. Chapter 12

Sales Section - Table of Contents

Glendale Gloves. Module 1. Transactions For June 3-9. Process Costing. 1 st Web-Based Edition

Terminal Verification Checklist - NSPOS X

ChannelOnline Invoice User Guide

ECMS Reservations and Payment

DOCUMENT EDIT/VOID RULES (When Editing and/or Voiding documents once entered into the system) PURCHASING

OpenEdge Interface Setup

TABLE OF CONTENTS (0) P a g e

Your business always on. 1. Booking Management

MANAGER FUNCTIONS VERSION 9

Data Exchange Module. Vendor Invoice Import

Help of Gluon ERP Purchase

How to Review Standard Orders and Process Billing. Table of Contents

Outline. 01 Terminal Overview: Page The Basics: Page Transactions: Page Settlements: Page Poynt.

At the end of this module, you will be able to:

What s New in Amicus Accounting 2009

NCR Counterpoint. Reports Handbook

Clarity Accounts Payable Year-end Procedure Guide 2017

GRBonline Bill Pay User Guide

Self-Service Invoice Guide

February 2017 Merchant Overview

Transcription:

Point Of Sales Below is the step to enable Optimum Point Of Sales module. Step 1 As shown in the figure, click the menu from the ribbon bar. Step 2 Select the Modules item form the drop down list. 1 P a g e

Step 3 Check POS from the Module Manager and save the changes. Step 4 Point of Sales module is located in the Sales menu. 2 P a g e

Point Of Sales Below is the main interface of Optimum Point Of Sales. Users can enter cash sales transactions in this screen. The left panel display all the function menus and right panel display the summary of the current transaction such as number of items, total quantity of items, total discounted of all items and total tax incurred. 3 P a g e

Description of Controls and Buttons Below are the description of all the functions and buttons used in Optimum Point Of Sales screen. F1 - Cancel and Void to Cancel Current Bill or Void Past Bill. Create New option is to create a new transaction and Void Past Bill is to void previous transactions. When Void Past Bill is selected, the list of previous transactions will be displayed. Void (F9) to void the transaction. After voiding a transaction, the details will be grayed out. Ctrl + F2 - Delete to delete selected item from the transaction list. 4 P a g e

F3 - Stock Item to add items. A pop-up list will appear and user can select item to be added in to the transaction list. Items can be added using bar code scanner as well. Item details view User allows to modify item details from here by using function F4 to F7. F4 - Quantity to edit the quantity of an item 5 P a g e

F5 - Unit Price to edit the unit price of an item F6 - Discount to issue a discount for selected item. Discount can be set using a specific amount or by percentage. F7 - UOM to change unit of measurement of an item. F8 - Customer to select specific customer from the drop down list. 6 P a g e

F9 - Payment to proceed with payment. From the payment screen. F1 to enter the amount paid by customer using cash A global discount can be issued by pressing F3. This discount is calculated based on the total amount on the receipt. Discount can be set using a specific amount or by percentage. F2 from the keyboard or "Other" button from the screen to select other payment methods such as credit card, cheque, voucher and etc. Select the method type by using F5 key and key in the details accordingly in the payment method screen. F9 to complete the payment. 7 P a g e

F10 - Reprint to reprint Receipt or Simplified tax invoice of the specific transaction. By default, system will print the report(default) based on the setting in the design. User can also select their preferred report format directly from the POS reprint screen by choosing from the list F11 - Full Tax Invoice to generate a full tax invoice of the specific transaction. Ctrl + E - Eject Cash Drawer to manual eject cash drawer. 8 P a g e

POS Account Preset User can create additional payment methods in POS Account Preset module which located in the sales menu. The payment methods will be displaying in the other payment method screen. 9 P a g e

POS Setting POS Setting module allows user to configure the Point Of Sales hardware devices setting such as printer, customer display and cash drawer. Printer To configure printer to be used with Optimum POS. Select Printer tab on POS Device setting screen and click the button next to Printer Name to select available or connected printer to be used. 10 P a g e

Click Print Test to test print. Note: Click Save to save all settings. Customer Display Select Customer Display tab on POS Setting screen. Select the Ports of which the customer display is connected to your PC. 11 P a g e

User can check the port in Device Manager. Select the Baud Rate of the Customer Display. User can check the Baud Rate with your Hardware vendor. 12 P a g e

To test the customer display, input text in Display Test and click Write Text. The text input should be appeared on customer display if is configure properly. Note: Click Save to save all settings. Cash Drawer Select Cash Drawer tab on POS Setting screen. Select the Ports of which the customer display is connected to your PC. 13 P a g e

Select the Baud Rate of the Customer Display. Click Test Eject Command to test the cash drawer. Note: Click Save to save all settings. 14 P a g e

Period Of Transaction remains in the System Select "Period Of transaction remains in the system" tab on POS Setting screen. User can control the period of transaction record which will show in the system by entering the number of the days here. Note: Click Save to save all settings. 15 P a g e