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Point Of Sales or POS.
- Look to the left of the screen. There you will see four bars labeled as
Maintenance, Rentals/Renewal, Point of Sales, and Reports. Click on the
Point of Sales Bar. All sales will take place here!
- For your basic sale startby clicking on the box labeled Vendor ID. The
vendor ID can be found on the tag of the item you are ringing up. After you
enter the ID number, hit the tab key. This will take you to the next box
labeled Stock ID. If the tag you are typing in has an inventory number, this
is the place that you should put it. Vendors are very picky about the
inventory numbers being included, so make surethat they are correct. Hit
the tab key again, this will bring you to the Itemdescription box. This box is
very important. Type in whatthe item looks like, color, size, shape, etc. Be
clear and specific becausethis is the information the vendors useto keep
track of their inventory. After you finish here hit the tab key again. This is
the quantity box. The number should usually stay as a one. Exceptions are
severalof the exact same items such as the plate stands that Bob and June
have in their booth. Example: Someonegets four plate stands of the same
sizeat the same price of a dollar each. Type in the vendor number, then put
four plate stands and the size in the description, then quantity would be
four and the amount would be one dollar. This automatically charges four
dollars plus the tax amount. You can also keep the quantity as one and
simply charge the person four dollars. Just make surethe description
includes FOURplate stands!Onceyou finish with the quantity, hit tab
again. This takes you to the discountbox. Here is wherethe sales are
added. If an item is 20% percent off, you type it in here. If the vendor’s sale
is saved in the system, an option to enter the sale automatically will
appear. If there is no sale, justhit tab again, and it will stay at 0. This takes
you to the ADD button. Hit enter and the item is in. Repeat the process
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with other items. Make sureto savethe tags fromthe items on the white
page that has the date written on it. This page will be saved in a binder at
the end of the day.
- When you have finished adding in all the customer’s items, you can see the
Invoiceamounton the left sideof the page towards the middle of the
screen. This shows you the balance due. Let the customer know the
amount so they can decide how to pay.
- There are two ways for a customer to pay; Cash, and Credit/Debit. Vendors
are allowed to pay with checks when they are paying rent; however, weare
no longer accepting checks fromcustomers. Traveler’s Check will not be
used for a regular transaction, and we do not haveor accept gift
certificates.
- If a person is paying in cash, hit the F2 button, or you can also justclick on
the Cash Box with the mouse. Itautomatically puts in the owed balance. If
they are paying more, justtype in the correctamount. After you type in the
amount they have paid, hit the Save and New Button. Itwill show the
amount of changeyou owethat person at the very bottom of the screen.
Please make surethat you always countthe customer’s changeback to
them. Though you see the amountat the bottom of the page, it ensures
that no mistakes are made and that your drawer is never shortor over. As
you hit saveand new, a receipt will automatically print fromthe black
receipt back on the right side of the computer screen. The cash drawer also
automatically opens! Give the person their receipt and change, and you are
done.
- When a vendor pays with a check, have them make the check out to the Los
RanchosAntique Mall. For this payment you will hit the F3 key or justclick
on the box. Itwill havethe amount of the check. Hit the tab button. At this
point it will ask for the check number, which is at the top right hand corner
of the check. Type it into the box. After you have entered this information,
hit saveand new on the computer screen. The receipt will then print out.
Put the check under the cash box, and give the vendor their receipt.
- If a person is paying with a debit or credit card, hit the F4 key or justclick
on the box. Hit the tab button. When you do it will ask you to specify debit
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or credit. Onceyou do so, enter the last four digits of the person’s card
number in the blank box. Next go to the card processer found on your left
beside the computer screen. For credit, hit the number one box, and then
hit the sale box. Itwill ask you to slide the person’s card. When it asks if the
last four digits match the card, check then hit yes. Itwill ask you for the
amount to be charged. Type that in and hit enter. When the card goes
through, hit saveand new on the computer. A receipt will print on both the
processer and the regular receipt box. The processer receipt is your copy to
have signed. Once signed put in the coffee cup below. Itwill ask if you want
the customer receipt to be printed. Hit yes. Staple both the receipt from
the original receipts box and the processer receipttogether. Give these to
the customer, along with their card back, explaining that one of the receipts
is an itemized copy and that the other is their credit card receipt. For a
debit card, hit the number two box which says debit, then the number one
box which says sale. Slide the card and do the same as the credit
procedure. The only difference is the customer will have put their pin in.
once the receipts print, give them their two copies and put yours in the
coffee cup. No signatureis needed for debit. SaveALL receipts for the day
end process! Cards now havechips in them. If this is the case, once you
enter the total for a sale, the machine will ask you to tap the card. To do
this, simply insert the card into with the chip on the side going in, on the
pin pad part of the machine. Once the card is approved it will ask you if the
customer’s signatureis complete. Always hit yes!Otherwiseit will reverse
the sale and you will have to begin the process again. Please keep in mind
that if a card has a chip in it, you mustautomatically run the card as credit
and not debit so do not give the debit option to a customer. Oneyou have
tapped the chip the process is the same as a regular credit/debit card.
- Make sureto let the customers know that all sales here are final!
How to Look Up an Invoice.
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- An invoice number is important for when a person wants to pay off a
layaway or of you need to look up pastsales from the day. At the top of the
Point of Sales page, there will be a boxthat says invoice, along with a set of
binoculars. For a layaway, the customer should havethe receipt. You will be
able to find the invoice number here. When you type it into the box it will
bring up that sale and you can finish fromthere. If the person forgets the
receipt you can click on the binoculars and look them up by date and name
and find the sale that way. Invoiceis also to look up previous sales from
that day. So if something needs to fixed, such as paymenttype, you would
look up the sale through the invoice bar, and then fix the problem.
When and How to Use WholeSale.
- When a customer says they are tax exempt, you will ring them up under
wholesales instead of retail. To changeto Wholesale, go to the top of the
page. You will see where the retail bubble is filled in. Simply click on the
bubble next the wholesale and you are done. If the customer has shopped
with us before, wewill already have their tax exemption information on
record. To look it up go to the middle top of the page. There will be a box
that says customer information. This is written in blue. There will be a set of
binoculars and an add button. If the customer has been here before, click
on the binoculars. Look the person up by their name, or the business the
number is under. When you click on it, it will take you back to the Point of
Sales Page. Continue to ring the person up as you would a normal sale. If
the customer has not shopped with us before, you will have to add them
into the system. To do this, click on the add button which is located next to
the binoculars. Putin the customers information, along with the tax
exemption number then hit saveand continue your sale. To put in the
number, the customer musthave a copy of the tax exemption formwith
them. Otherwiseyou ring them up as a normalsale with tax.
How To Set Up, Pay Off, or Update A Layaway.
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- For layaway sales. The customer is required to put 30% of the original price
down, and it must be at least a 100 dollar sale. When you are creating a
new layaway, you will go to the top of the point of sale page and click the
bubble next to layaway. You will ring the items up as a normal sale. When
it’s time to pay, on the left side where it shows paymenttypes, you will see
the amount30% equals. The customer is allowed to pay that amount, or
more if they wish. If they pay the 30 percent only, choosethe way they are
paying and finish your transaction. If they are paying more, make sure to
change it whereit shows the30% and then type the amountin the
payment type box. Before the transaction can be completed, you will have
to enter the customer’s information. Go to the customer information area
and click on the add button. Itwill ask for name, address, number, etc. Put
this all in and hit save and close. The amount that they still need to pay will
be shown on the receipt given. When a person comes to make a payment
or finish a layaway payment, click on layaway bubble and look up the
invoice number on their receipt. This will pull up the information and the
amount still owed. When they make a payment, hit save and new and the
updated amounts will be saved and the new balance will show on the given
receipt. If they are finished paying it off, the balance amount will show as 0.
If the customer forgets their receipt, you can look up the invoice number by
name after you click the layaway button. Make sure to change the date
when you are looking them up, or the systemwill not find them. When a
layaway has been paid off, they are allowed to pick up their items. Let them
know that they need to keep their receipt on them during this process. The
customer has a month to finish paying off a layaway. When the layaway
process is complete, create a sold sign with the customer’s name, the date,
and a phone number. This way if they forgetabout the layaway, you can
call and remind them. The date helps you tell when the layaway is due.
How to Void A Sale.
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- When voiding out a ticket, you can only void a sale made during that day.
You would look up the invoice number on the regular point of sales page
under the retail bubble. After you havethe invoice sale pulled up, click on
the void bubble at the top of the page. Itwill ask for the passcode. Chris,
Jon, and Nick are the only ones with the password so ask them. They will
finish the process.
How to do a Vendor’s Printout.
- A Vendor’s printoutshows themwhat they have sold for the month, and
how much it was sold for. When a vendor asks for one of these look to the
very top of the computer screen. Itdoesn’tmatter whereyou are at in the
program. You will see a list that shows File, Maintenance, Rentals/Renewal,
Point of Sales, Reports, Window, and Help. Click on the Reports section.
This will open a new list. Here you click on the Point of Sales Button. Once
you do this, another list will appear. Click on the Daily Sales Listing Button.
This will pull up a box. In the box that says fromdate, changethe date to
the 1st
of the month you are in. Next click the bubble that says Vendor, then
click the bubble that says requested vendor. Onceyou havedone this, type
in the vendor number of the person asking for the printout. Hit preview and
the sales fromthat month will be pulled up. The vendor may look at it, or
you can print it for them if they requestit, by clicking on the little printer at
the very top of the screen. Once it has printed, you can exit out of the
boxes until you get to the original screen.
What to Do whena Vendor Wants To Pay Rent.
- When a vendor pays rent you would look to left of the screen. There you
will see the four buttons that say Maintenance, Rental/Renewal, Point of
Sales, and Reports. Click on the Rental/Renewal Button. Go down the list
and click on paymentby booth. This will pull up a new box. Types in the
vendor number then go down to the paymenttypes. When accepting rent
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we only take cash, checks, and cards. If they pay with a check, type in the
check number in the box below. When you hit save, a receipt will pop up on
the screen. Make sureto print this out and give it to them. If they pay with
a card, you will have to specify credit or debit but you do not need to type
in the last four of their card. This type of payment will give them a receipt
fromthe machine that you can staple to the printed receipt. Please make
surethat these receipts are given out. They are very important for both
vendor and our own records.
Viewing the Floor Layout.
- Viewing the floor layoutis important for when you are renting out booths.
Itshows whatspaces areavailable, along with who is in each of the taken
spaces. To get here, look to the left where you will see the Maintenance,
Rental/Renewals, Point of Sales, and Reports buttons. Click on the
Rentals/Renewal button. Then click on view layout. This brings up a
hypothetical floor plan. To view information on taken spaces, right click on
the spacenumber.
How to Adda NewBoothto the Layout.
- When you need to add a new booth to the layout, typically it is when we
buy a new case to put on the floor, or to add a new space, or have decided
to rent a wall or window on the floor. To start, look to the left of the
screen. There you will see four bars labeled as Maintenance,
Rentals/Renewal, Point of Sales, and Reports. Click on the Maintenance
button. Fromthere you will click on the button that says Booth Types. Next,
(and this is very important or the information will not be saved!) look to the
very top of the screen wherethe file button is. Right below the file button,
you will see a small button that looks like a blank piece of white paper. Click
on it. Once you do this you can go to the box and enter the Booth Type,
Booth Description, Booth Length and Width, and Booth Category. When it
comes to the amount that will be charged you can scrollto the bottom of
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the boxes that say Rental Charges. Select the option that says Combined
Monthly, and type in the amount that will be charge for a month. Onceyou
have done all this, hit the savebutton.
- The next step of this process requires you to look at the four bars labeled as
Maintenance, Rentals/Renewal, Point of Sales, and Reports again. Click on
the Rentals/Renewal bar and select the button that says View Layout.
When the box pops up you don’t need to change the dates or any
information so simply click the View Layoutbutton again and this will bring
up a page that shows allof the booths wehave in the store including
spaces, cases, and walls or windows. You need to finish adding the booth to
the layoutso go to the area you wantyour booth to be on the map and
right click with the mouse to add the booth. Scroll through the list until you
find the name of the booth you have created. Select your booth. Once you
have done this, hit saveand the booth has been added to your layout.
- If you need to edit a booth, look at the four bars labeled as Maintenance,
Rentals/Renewal, Point of Sales, and Reports. This time click on the bar
labeled as Maintenance. Click on booth type then go to the top middle of
the page whereyou will see a locate button. Type the booth number or
name you havecreated into the white box next to this button and hit
search. Edit what you need, then hit save and you will be done. If you want
to check that your booth is there, use the steps that you would use to view
the floor layout. (Listed Above).
How to Prorate Rent for a Vendor Who MovedinAfter the 1st
of the Month.
- To start, look at the four bars labeled as Maintenance, Rentals/Renewal,
Point of Sales, and Reports. Click on the bar labeled as Rentals/Renewal.
Then click on the box labeled as Rentals/Renewal. Type in the vendor ID of
the vendor you will be charging. There will be two boxes on the page that
comes up and they will each be labeled with blue writing. Oneis Booth
Rentals and the other is Other Rentals. There will be a white sheet of paper
in a small box you can click on next to both of these. You will click on the
white sheet of paper next to the Booth Rentals. Here you will search for the
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booth that they are moving in to, and then click on the button towards the
right of the Booth Rental box that says Per Diem. Select the box next to the
booth you have justadded the vendor to. (Sometimes Vendors HaveMore
than One Booth). This will allow you to proratethe vendor accordingly.
Checking Who Has and Has Not Paid Rent.
- To find out the status of who has and has not paid rent begin by looking to
the left of the screen where the buttons say Maintenance,
Rental/Renewals, Reports, and Point of Sales. Click on the one that says
Rental/Renewal. Once the list underneath shows, click on the button that
says Booth Status. This will pull up a list of all of the current vendors in the
store. You can tell if they havenot paid rent, because the name will show in
red font. The Vendors who havepaid will show in black font.
Looking Up Sold Items.
- Looking up sold items is importantfor the moment when a vendor is
missing an item fromtheir booth and it doesn’tshow on their printout as
being sold. Often times, the item was sold and put under the wrong vendor
number. When you type it into the sold items bar, you can find out if it was
sold at all, then you can find out who got credit for it. To get to Sold Item
Search, look to let of the screen. There you will see the four buttons
Maintenance, Rental/Renewals, Reports, and Point Of Sales. Click on the
Point Of Sales button. There you will click on the Sold Items Search button.
This will bring up a new box. Change the date to the date you think the item
was sold, or if you are uncertain go to the firstday of two months back
fromthe currentmonth you are in. Then go to the search bar and type in
the item you are looking for. A list should appear below. Here you can find
the specific item you want. If it doesn’tappear, the item could have been
stolen.
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Adding Vendor Discounts tothe System.
- When vendors arehaving different sales in their booths, it’s hard to keep all
the differentsales straight. One solution is to add them to the vendor’s
information sheets. When you do so, the sale will pop up on the screen
when you type in the vendor ID number during a transaction. To add the
sales in, look to the left of the screen. There you will see the usualfour
buttons, Maintenance, Rental/Renewal, Reports, and Point Of Sales. For
this one, you will be clicking on the Maintenance button. Fromthere, click
on the Vendor Button. This will bring a new box up. Typein the Vendor ID
number of the vendor you want to add the sale to. Once you do this go
down and you will see a list of boxes going across the screen. They are
Vendor Info, Vendor Notes, Other Info, ContactPersons, and POS Discount
Plans. Click on the POS DiscountPlans box. At this point you will add in the
sale, the days it will be happening, and of coursea start and end date for
the sale. Once you have added in any information you need on the sale, hit
Saveand you will be finished. You can also remove these sales by following
the samesteps, then deleting the currentsales.
How to Adda NewVendor.
- Adding a new Vendor into the systemwill be something you do often. To
add someonein look to the left of the screen and you will see the four
buttons Maintenance, Rental/Renewal, Reports, and Point Of Sales. Click
on Maintenance, and then click on Vendor. Next, (and this is very important
or the information will not be saved!) look to the very top of the screen
wherethe file button is. Right below the file button, you will see a small
button that looks like a blank piece of white paper. Click on it. Once you do
this you can go to the box and enter in all of the new Vendor information,
including the vendor ID number. Onceyou have finished hit the save
button, not the save and new button.
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Fixing Sales Types on SoldItems.
- The times you will need to know how to do this is mostly when a customer
pays in more than one payment type. For example they may put 30 dollars
in cash and the resttheir card. If you make a mistake in putting the
different numbers in the correct payment type areas you can fix them by
looking up the invoice number of the sale. Onceyou find the sale, you will
see two pink boxes. Click on the box that says ChangePaymentType. When
you are finished doing this click the savebutton and you will be done. No
password is required for this process.
Day End Process.
- The Day End Process is to be completed every day after the storeis closed.
Do not take the money out until all customers and vendors haveleft and
the frontdoors arelocked.
- To begin the Day End Process, look to the left of the computer screen. You
will see the four buttons Maintenance, Rental/Renewal, Reports, and Point
of Sales. Click on the Point of Sales button. Then click on the Day End
Process button. A new box will pop up. Next count the drawer. As you do
so, enter the amount of each coin and bill into the proper boxes. When you
are finished the cash difference should show zero. If there is a difference,
recount and consult Jon or Chris. After the cash is taken care of Type in the
same numbers fromthe Net terminal amountcolumn into the actual
amount column. Do this for all sections, check, credit card, etc. Oncethis is
done go to the Credit Card Processer. Hitthe Credit Button, then hit the
More button, then hit the Close button. When you do this a number will
pop up on the screen and it will ask if the amount is correct. Look at the
computer and add the credit and debit card totals together. If that total
matches the processer totals hit yes. Next look at the cash totals fromthe
day. You will usethis number to determine the amount of money you must
12
take out of the register for the closing deposit. The register opens at
$200.00 every day. So subtract200 fromthetotal amount and that will give
you the amount you need to take out for the deposit. Next you need to fill
out a deposit slip with the total amount you havetaken out of the register.
There is an example deposit slip under the register you can use for
reference. You will enter the storename, the address, typeof deposit, date,
total cash and checks, etc. On the back of the deposit slip you will enter the
number of each bill being deposited, and how much it totals for business
records. If you haveany questions please ask Jon, Nick, or Amanda for
assistancein this process. After you have filled out the proper sections put
the depositslip and the money in an envelope with Los Ranchos Antique
Mall, the date, and deposit written on it. Once finished hit process day end.
Itwill bring up a new box. Uncheck the box that says Daily Sales Listing and
check the box that says User/TerminalSummary with Differences. Hit
preview and print the page. Staple the printed page to the daily receipts
formthe coffee cup that have been numerically put in order from last to
first, and the receipt that prints fromthe debit and credit card totals from
the machine. Go to left of the screen and click on ArcadeCash Day End.
Type in the totals to match and submit. This does not need to be printed,
but must be done every night. Take the depositcontents, the printed
paper, and the receipts to either Jon, Chris or Dean. Exit the application and
shutdown the computer. Make sureto turn off the screen to the
computer. Turn off all lights and both signs to closed in the windows. Turn
off music. Then you are all done!

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The Antique Soft - Procedural Manual

  • 1. 1 Point Of Sales or POS. - Look to the left of the screen. There you will see four bars labeled as Maintenance, Rentals/Renewal, Point of Sales, and Reports. Click on the Point of Sales Bar. All sales will take place here! - For your basic sale startby clicking on the box labeled Vendor ID. The vendor ID can be found on the tag of the item you are ringing up. After you enter the ID number, hit the tab key. This will take you to the next box labeled Stock ID. If the tag you are typing in has an inventory number, this is the place that you should put it. Vendors are very picky about the inventory numbers being included, so make surethat they are correct. Hit the tab key again, this will bring you to the Itemdescription box. This box is very important. Type in whatthe item looks like, color, size, shape, etc. Be clear and specific becausethis is the information the vendors useto keep track of their inventory. After you finish here hit the tab key again. This is the quantity box. The number should usually stay as a one. Exceptions are severalof the exact same items such as the plate stands that Bob and June have in their booth. Example: Someonegets four plate stands of the same sizeat the same price of a dollar each. Type in the vendor number, then put four plate stands and the size in the description, then quantity would be four and the amount would be one dollar. This automatically charges four dollars plus the tax amount. You can also keep the quantity as one and simply charge the person four dollars. Just make surethe description includes FOURplate stands!Onceyou finish with the quantity, hit tab again. This takes you to the discountbox. Here is wherethe sales are added. If an item is 20% percent off, you type it in here. If the vendor’s sale is saved in the system, an option to enter the sale automatically will appear. If there is no sale, justhit tab again, and it will stay at 0. This takes you to the ADD button. Hit enter and the item is in. Repeat the process
  • 2. 2 with other items. Make sureto savethe tags fromthe items on the white page that has the date written on it. This page will be saved in a binder at the end of the day. - When you have finished adding in all the customer’s items, you can see the Invoiceamounton the left sideof the page towards the middle of the screen. This shows you the balance due. Let the customer know the amount so they can decide how to pay. - There are two ways for a customer to pay; Cash, and Credit/Debit. Vendors are allowed to pay with checks when they are paying rent; however, weare no longer accepting checks fromcustomers. Traveler’s Check will not be used for a regular transaction, and we do not haveor accept gift certificates. - If a person is paying in cash, hit the F2 button, or you can also justclick on the Cash Box with the mouse. Itautomatically puts in the owed balance. If they are paying more, justtype in the correctamount. After you type in the amount they have paid, hit the Save and New Button. Itwill show the amount of changeyou owethat person at the very bottom of the screen. Please make surethat you always countthe customer’s changeback to them. Though you see the amountat the bottom of the page, it ensures that no mistakes are made and that your drawer is never shortor over. As you hit saveand new, a receipt will automatically print fromthe black receipt back on the right side of the computer screen. The cash drawer also automatically opens! Give the person their receipt and change, and you are done. - When a vendor pays with a check, have them make the check out to the Los RanchosAntique Mall. For this payment you will hit the F3 key or justclick on the box. Itwill havethe amount of the check. Hit the tab button. At this point it will ask for the check number, which is at the top right hand corner of the check. Type it into the box. After you have entered this information, hit saveand new on the computer screen. The receipt will then print out. Put the check under the cash box, and give the vendor their receipt. - If a person is paying with a debit or credit card, hit the F4 key or justclick on the box. Hit the tab button. When you do it will ask you to specify debit
  • 3. 3 or credit. Onceyou do so, enter the last four digits of the person’s card number in the blank box. Next go to the card processer found on your left beside the computer screen. For credit, hit the number one box, and then hit the sale box. Itwill ask you to slide the person’s card. When it asks if the last four digits match the card, check then hit yes. Itwill ask you for the amount to be charged. Type that in and hit enter. When the card goes through, hit saveand new on the computer. A receipt will print on both the processer and the regular receipt box. The processer receipt is your copy to have signed. Once signed put in the coffee cup below. Itwill ask if you want the customer receipt to be printed. Hit yes. Staple both the receipt from the original receipts box and the processer receipttogether. Give these to the customer, along with their card back, explaining that one of the receipts is an itemized copy and that the other is their credit card receipt. For a debit card, hit the number two box which says debit, then the number one box which says sale. Slide the card and do the same as the credit procedure. The only difference is the customer will have put their pin in. once the receipts print, give them their two copies and put yours in the coffee cup. No signatureis needed for debit. SaveALL receipts for the day end process! Cards now havechips in them. If this is the case, once you enter the total for a sale, the machine will ask you to tap the card. To do this, simply insert the card into with the chip on the side going in, on the pin pad part of the machine. Once the card is approved it will ask you if the customer’s signatureis complete. Always hit yes!Otherwiseit will reverse the sale and you will have to begin the process again. Please keep in mind that if a card has a chip in it, you mustautomatically run the card as credit and not debit so do not give the debit option to a customer. Oneyou have tapped the chip the process is the same as a regular credit/debit card. - Make sureto let the customers know that all sales here are final! How to Look Up an Invoice.
  • 4. 4 - An invoice number is important for when a person wants to pay off a layaway or of you need to look up pastsales from the day. At the top of the Point of Sales page, there will be a boxthat says invoice, along with a set of binoculars. For a layaway, the customer should havethe receipt. You will be able to find the invoice number here. When you type it into the box it will bring up that sale and you can finish fromthere. If the person forgets the receipt you can click on the binoculars and look them up by date and name and find the sale that way. Invoiceis also to look up previous sales from that day. So if something needs to fixed, such as paymenttype, you would look up the sale through the invoice bar, and then fix the problem. When and How to Use WholeSale. - When a customer says they are tax exempt, you will ring them up under wholesales instead of retail. To changeto Wholesale, go to the top of the page. You will see where the retail bubble is filled in. Simply click on the bubble next the wholesale and you are done. If the customer has shopped with us before, wewill already have their tax exemption information on record. To look it up go to the middle top of the page. There will be a box that says customer information. This is written in blue. There will be a set of binoculars and an add button. If the customer has been here before, click on the binoculars. Look the person up by their name, or the business the number is under. When you click on it, it will take you back to the Point of Sales Page. Continue to ring the person up as you would a normal sale. If the customer has not shopped with us before, you will have to add them into the system. To do this, click on the add button which is located next to the binoculars. Putin the customers information, along with the tax exemption number then hit saveand continue your sale. To put in the number, the customer musthave a copy of the tax exemption formwith them. Otherwiseyou ring them up as a normalsale with tax. How To Set Up, Pay Off, or Update A Layaway.
  • 5. 5 - For layaway sales. The customer is required to put 30% of the original price down, and it must be at least a 100 dollar sale. When you are creating a new layaway, you will go to the top of the point of sale page and click the bubble next to layaway. You will ring the items up as a normal sale. When it’s time to pay, on the left side where it shows paymenttypes, you will see the amount30% equals. The customer is allowed to pay that amount, or more if they wish. If they pay the 30 percent only, choosethe way they are paying and finish your transaction. If they are paying more, make sure to change it whereit shows the30% and then type the amountin the payment type box. Before the transaction can be completed, you will have to enter the customer’s information. Go to the customer information area and click on the add button. Itwill ask for name, address, number, etc. Put this all in and hit save and close. The amount that they still need to pay will be shown on the receipt given. When a person comes to make a payment or finish a layaway payment, click on layaway bubble and look up the invoice number on their receipt. This will pull up the information and the amount still owed. When they make a payment, hit save and new and the updated amounts will be saved and the new balance will show on the given receipt. If they are finished paying it off, the balance amount will show as 0. If the customer forgets their receipt, you can look up the invoice number by name after you click the layaway button. Make sure to change the date when you are looking them up, or the systemwill not find them. When a layaway has been paid off, they are allowed to pick up their items. Let them know that they need to keep their receipt on them during this process. The customer has a month to finish paying off a layaway. When the layaway process is complete, create a sold sign with the customer’s name, the date, and a phone number. This way if they forgetabout the layaway, you can call and remind them. The date helps you tell when the layaway is due. How to Void A Sale.
  • 6. 6 - When voiding out a ticket, you can only void a sale made during that day. You would look up the invoice number on the regular point of sales page under the retail bubble. After you havethe invoice sale pulled up, click on the void bubble at the top of the page. Itwill ask for the passcode. Chris, Jon, and Nick are the only ones with the password so ask them. They will finish the process. How to do a Vendor’s Printout. - A Vendor’s printoutshows themwhat they have sold for the month, and how much it was sold for. When a vendor asks for one of these look to the very top of the computer screen. Itdoesn’tmatter whereyou are at in the program. You will see a list that shows File, Maintenance, Rentals/Renewal, Point of Sales, Reports, Window, and Help. Click on the Reports section. This will open a new list. Here you click on the Point of Sales Button. Once you do this, another list will appear. Click on the Daily Sales Listing Button. This will pull up a box. In the box that says fromdate, changethe date to the 1st of the month you are in. Next click the bubble that says Vendor, then click the bubble that says requested vendor. Onceyou havedone this, type in the vendor number of the person asking for the printout. Hit preview and the sales fromthat month will be pulled up. The vendor may look at it, or you can print it for them if they requestit, by clicking on the little printer at the very top of the screen. Once it has printed, you can exit out of the boxes until you get to the original screen. What to Do whena Vendor Wants To Pay Rent. - When a vendor pays rent you would look to left of the screen. There you will see the four buttons that say Maintenance, Rental/Renewal, Point of Sales, and Reports. Click on the Rental/Renewal Button. Go down the list and click on paymentby booth. This will pull up a new box. Types in the vendor number then go down to the paymenttypes. When accepting rent
  • 7. 7 we only take cash, checks, and cards. If they pay with a check, type in the check number in the box below. When you hit save, a receipt will pop up on the screen. Make sureto print this out and give it to them. If they pay with a card, you will have to specify credit or debit but you do not need to type in the last four of their card. This type of payment will give them a receipt fromthe machine that you can staple to the printed receipt. Please make surethat these receipts are given out. They are very important for both vendor and our own records. Viewing the Floor Layout. - Viewing the floor layoutis important for when you are renting out booths. Itshows whatspaces areavailable, along with who is in each of the taken spaces. To get here, look to the left where you will see the Maintenance, Rental/Renewals, Point of Sales, and Reports buttons. Click on the Rentals/Renewal button. Then click on view layout. This brings up a hypothetical floor plan. To view information on taken spaces, right click on the spacenumber. How to Adda NewBoothto the Layout. - When you need to add a new booth to the layout, typically it is when we buy a new case to put on the floor, or to add a new space, or have decided to rent a wall or window on the floor. To start, look to the left of the screen. There you will see four bars labeled as Maintenance, Rentals/Renewal, Point of Sales, and Reports. Click on the Maintenance button. Fromthere you will click on the button that says Booth Types. Next, (and this is very important or the information will not be saved!) look to the very top of the screen wherethe file button is. Right below the file button, you will see a small button that looks like a blank piece of white paper. Click on it. Once you do this you can go to the box and enter the Booth Type, Booth Description, Booth Length and Width, and Booth Category. When it comes to the amount that will be charged you can scrollto the bottom of
  • 8. 8 the boxes that say Rental Charges. Select the option that says Combined Monthly, and type in the amount that will be charge for a month. Onceyou have done all this, hit the savebutton. - The next step of this process requires you to look at the four bars labeled as Maintenance, Rentals/Renewal, Point of Sales, and Reports again. Click on the Rentals/Renewal bar and select the button that says View Layout. When the box pops up you don’t need to change the dates or any information so simply click the View Layoutbutton again and this will bring up a page that shows allof the booths wehave in the store including spaces, cases, and walls or windows. You need to finish adding the booth to the layoutso go to the area you wantyour booth to be on the map and right click with the mouse to add the booth. Scroll through the list until you find the name of the booth you have created. Select your booth. Once you have done this, hit saveand the booth has been added to your layout. - If you need to edit a booth, look at the four bars labeled as Maintenance, Rentals/Renewal, Point of Sales, and Reports. This time click on the bar labeled as Maintenance. Click on booth type then go to the top middle of the page whereyou will see a locate button. Type the booth number or name you havecreated into the white box next to this button and hit search. Edit what you need, then hit save and you will be done. If you want to check that your booth is there, use the steps that you would use to view the floor layout. (Listed Above). How to Prorate Rent for a Vendor Who MovedinAfter the 1st of the Month. - To start, look at the four bars labeled as Maintenance, Rentals/Renewal, Point of Sales, and Reports. Click on the bar labeled as Rentals/Renewal. Then click on the box labeled as Rentals/Renewal. Type in the vendor ID of the vendor you will be charging. There will be two boxes on the page that comes up and they will each be labeled with blue writing. Oneis Booth Rentals and the other is Other Rentals. There will be a white sheet of paper in a small box you can click on next to both of these. You will click on the white sheet of paper next to the Booth Rentals. Here you will search for the
  • 9. 9 booth that they are moving in to, and then click on the button towards the right of the Booth Rental box that says Per Diem. Select the box next to the booth you have justadded the vendor to. (Sometimes Vendors HaveMore than One Booth). This will allow you to proratethe vendor accordingly. Checking Who Has and Has Not Paid Rent. - To find out the status of who has and has not paid rent begin by looking to the left of the screen where the buttons say Maintenance, Rental/Renewals, Reports, and Point of Sales. Click on the one that says Rental/Renewal. Once the list underneath shows, click on the button that says Booth Status. This will pull up a list of all of the current vendors in the store. You can tell if they havenot paid rent, because the name will show in red font. The Vendors who havepaid will show in black font. Looking Up Sold Items. - Looking up sold items is importantfor the moment when a vendor is missing an item fromtheir booth and it doesn’tshow on their printout as being sold. Often times, the item was sold and put under the wrong vendor number. When you type it into the sold items bar, you can find out if it was sold at all, then you can find out who got credit for it. To get to Sold Item Search, look to let of the screen. There you will see the four buttons Maintenance, Rental/Renewals, Reports, and Point Of Sales. Click on the Point Of Sales button. There you will click on the Sold Items Search button. This will bring up a new box. Change the date to the date you think the item was sold, or if you are uncertain go to the firstday of two months back fromthe currentmonth you are in. Then go to the search bar and type in the item you are looking for. A list should appear below. Here you can find the specific item you want. If it doesn’tappear, the item could have been stolen.
  • 10. 10 Adding Vendor Discounts tothe System. - When vendors arehaving different sales in their booths, it’s hard to keep all the differentsales straight. One solution is to add them to the vendor’s information sheets. When you do so, the sale will pop up on the screen when you type in the vendor ID number during a transaction. To add the sales in, look to the left of the screen. There you will see the usualfour buttons, Maintenance, Rental/Renewal, Reports, and Point Of Sales. For this one, you will be clicking on the Maintenance button. Fromthere, click on the Vendor Button. This will bring a new box up. Typein the Vendor ID number of the vendor you want to add the sale to. Once you do this go down and you will see a list of boxes going across the screen. They are Vendor Info, Vendor Notes, Other Info, ContactPersons, and POS Discount Plans. Click on the POS DiscountPlans box. At this point you will add in the sale, the days it will be happening, and of coursea start and end date for the sale. Once you have added in any information you need on the sale, hit Saveand you will be finished. You can also remove these sales by following the samesteps, then deleting the currentsales. How to Adda NewVendor. - Adding a new Vendor into the systemwill be something you do often. To add someonein look to the left of the screen and you will see the four buttons Maintenance, Rental/Renewal, Reports, and Point Of Sales. Click on Maintenance, and then click on Vendor. Next, (and this is very important or the information will not be saved!) look to the very top of the screen wherethe file button is. Right below the file button, you will see a small button that looks like a blank piece of white paper. Click on it. Once you do this you can go to the box and enter in all of the new Vendor information, including the vendor ID number. Onceyou have finished hit the save button, not the save and new button.
  • 11. 11 Fixing Sales Types on SoldItems. - The times you will need to know how to do this is mostly when a customer pays in more than one payment type. For example they may put 30 dollars in cash and the resttheir card. If you make a mistake in putting the different numbers in the correct payment type areas you can fix them by looking up the invoice number of the sale. Onceyou find the sale, you will see two pink boxes. Click on the box that says ChangePaymentType. When you are finished doing this click the savebutton and you will be done. No password is required for this process. Day End Process. - The Day End Process is to be completed every day after the storeis closed. Do not take the money out until all customers and vendors haveleft and the frontdoors arelocked. - To begin the Day End Process, look to the left of the computer screen. You will see the four buttons Maintenance, Rental/Renewal, Reports, and Point of Sales. Click on the Point of Sales button. Then click on the Day End Process button. A new box will pop up. Next count the drawer. As you do so, enter the amount of each coin and bill into the proper boxes. When you are finished the cash difference should show zero. If there is a difference, recount and consult Jon or Chris. After the cash is taken care of Type in the same numbers fromthe Net terminal amountcolumn into the actual amount column. Do this for all sections, check, credit card, etc. Oncethis is done go to the Credit Card Processer. Hitthe Credit Button, then hit the More button, then hit the Close button. When you do this a number will pop up on the screen and it will ask if the amount is correct. Look at the computer and add the credit and debit card totals together. If that total matches the processer totals hit yes. Next look at the cash totals fromthe day. You will usethis number to determine the amount of money you must
  • 12. 12 take out of the register for the closing deposit. The register opens at $200.00 every day. So subtract200 fromthetotal amount and that will give you the amount you need to take out for the deposit. Next you need to fill out a deposit slip with the total amount you havetaken out of the register. There is an example deposit slip under the register you can use for reference. You will enter the storename, the address, typeof deposit, date, total cash and checks, etc. On the back of the deposit slip you will enter the number of each bill being deposited, and how much it totals for business records. If you haveany questions please ask Jon, Nick, or Amanda for assistancein this process. After you have filled out the proper sections put the depositslip and the money in an envelope with Los Ranchos Antique Mall, the date, and deposit written on it. Once finished hit process day end. Itwill bring up a new box. Uncheck the box that says Daily Sales Listing and check the box that says User/TerminalSummary with Differences. Hit preview and print the page. Staple the printed page to the daily receipts formthe coffee cup that have been numerically put in order from last to first, and the receipt that prints fromthe debit and credit card totals from the machine. Go to left of the screen and click on ArcadeCash Day End. Type in the totals to match and submit. This does not need to be printed, but must be done every night. Take the depositcontents, the printed paper, and the receipts to either Jon, Chris or Dean. Exit the application and shutdown the computer. Make sureto turn off the screen to the computer. Turn off all lights and both signs to closed in the windows. Turn off music. Then you are all done!