![]() ![]() If you have company representatives away from the office/out in the field who need to take customer payments or if you do not have a Point of Sale system but need to take credit card payments, this is the solution for you. ![]() The Intuit GoPayment mobile credit card app and card reader enables those who sell products or services to never miss a sale, no matter where the person does business. It is a mobile credit card processing service by Intuit in which the merchant takes credit card payments from their cell phone. What is Intuit GoPayment? You may have heard the buzz about it but aren't sure exactly what its purpose is and how it works. If it is black, then someone has deleted the transaction.Ĭlient: I fixed the issue by resending the ones that were missing. If the link is blue, click and open in QBF. Then, go to the I Want To (must be done on the server computer) and view financial detail. Will: Go into one that appears to be missing. Then, answer back.Ĭlient: I looked at this month and sorted by QB Status and each one has completed in the field. Try to filter for the QB status as Error or Not Posted and see if there is anything there. Should I resend the information for just that date? Thanks! If I look in Point of Sale (POS) I see all of the sales that we had but for some reason both cash and credit card are way short in QB. I'm recording deposits in QuickBooks Financial (QBF) and for one day I do not have all of the transactions present. Question from client’s email: I have a weird issue. Below are the questions and statements from one of our retail clients and Will’s replies. Today’s topic is about recording deposits in QuickBooks Financial but all of the transactions are not present for one day. ![]() You do not mark an item as paid (since the client inputs the payments into QB).Īlways put a number in the Invoice/Ref field. Will’s reply: You get an item receipt if you mark the bill already paid or fail to put a number in the Invoice/Ref field on the receiving voucher. others transferred as "Bills." Why is this distinction made between Bills and Item Receipts? There are still line items in the accounting software that were transferred as "Item Receipts" vs. If this expense is negative, it most likely means that you have not been receiving properly.Ģ. Will’s reply: When you change the on-hand quantity (qty) or cost of an item, inventory value is changed (debited or credited) and the offsetting account is POS Inventory Adjustment. ![]() There's a line item that is generated in the accounting software titled, "POS Inventory Adjustments." How is this number generated? Once the credit memo or refund is deleted you will want to enter in the intended refund or credit memo.Ĭontact MBE CPAs if you have any questions.Question from our client: I met with my accountant and he had a couple of general questions about the transfer of data from the POS to the accounting software.ġ.
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