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Gift Card Settings

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Issuing Bulk Gift Cards in CMA Member Charges

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Notes:

If you prefer to enter different information for each Gift Card Do Not click on Auto-Finish. Click on Next to move to the next Gift Card.

Keep in mind that all information is searchable in POS so the more description the easier to find a gift card

Follow the same steps for a single Gift Card except when done entering all the information click Finish

If the Edit Gift Cards option does not appear make sure you have a Gift Card item setup

 

Issuing Bulk Gift Cards at POS

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Note:

If your system is setup to auto assign the number you do not have to enter the card number

If you are not setup to auto assign the number enter the first number and the system will assign the next sequential numbers

Follow the same steps for a single Gift Card except when done click or touch Enter

The expiration date will be set based on the system settings.

 

Reassign Gift Cards

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Note:

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Overview

In this guide, we will review troubleshooting steps for when the A/R Account is out of balance.

 

Troubleshooting an Out of Balance AR Account

 

Updating the General Ledger Date

First, run the AR Aging Report by going to Interactive Reports, then Membership, then AR Aging.

Confirm the date that the account was in balance, and that the following day shows an out of balance account.

Next, in the General Ledger enter the start date the 1st day of the month and schedule the end date the AS OF date of the AR Aging Reporting.

Put the AR Account number in the Search Field and click the Refresh arrows.

The ending balance in the General Ledger grid should now match the AR Aging Report.

 

Reopen & Close Incorrect Period

If the balance is still incorrect, go to General Ledger across the top. Click Manage, and then Ledger Periods.

Find the last period that was closed and reopen it (double click on the period > uncheck Closed > Save), then as soon as that completes, close it.

Go back and run the aging report again for the date that had the incorrect balance, and now see if it now is in balance.

For most cases, the balance will be corrected by now, but if not you will want to analyze the batches that were posted on that both for both the member charges and the payment batches.

 

Analyzing Each Batch

Open each payment batch and confirm that the amount hitting the A/R Account is equal to the amount total you see hitting the member accounts. An out of balance account will only result if the member had a Non-Member Cash receipt in the batch, and that would be clearly labeled in the details of the batch.

If all the payment batches are correct, then check the charge batches.

Look at each POS batch and ensure the total in the Member Charge settled column is what is posting to the A/R Account.

If the amount is not the same, find the different batch and look for a ticket for that amount. Correct the item settings and unpost/repost and it will post the right amount.

Check the member charge batches to make sure the total activity is what is posting to the A/R Account and again, if it isn’t, most likely an item isn’t set right with the right A/R override, or has the A/R Account as the sales account.

Unpost the batch, correct the item, and repost and then should be in balance.

 

Downloadable Guide

AR Out of Balance Guide