PANTHEON™ Help

 Toc
 PANTHEON Help - Welcome
[Collapse]PANTHEON
 [Collapse]Guides for PANTHEON
  [Expand]Guide for PANTHEON
  [Expand]Guide for PANTHEON Retail
  [Expand]Guide for PANTHEON Vet
  [Expand]Guide for PANTHEON Farming
 [Collapse]User Manuals for PANTHEON
  [Collapse]User Manual for PANTHEON
   [Collapse]Getting Started
     Dictionary of terms
     First steps with PANTHEON
    [Collapse]Using PANTHEON at Tecta, a fictional company
      Introduction to Tecta
     [Expand]Tecta Registers
     [Expand]Tecta Business Processes
     [Collapse]Tecta Sales
      [Expand]Sales orders
      [Expand]Wholesale
      [Collapse]Retail
        Description of retail process
        POS X module settings
        Creating a retail invoice
        Cash register close
        Creating a retail invoice by resources/tables
     [Expand]Tecta Purchasing
     [Expand]Tecta Stock
     [Expand]Tecta Manufacturing
     [Expand]Tecta Servicing
     [Expand]Tecta Accounting and Finance
     [Expand]Tecta Personnel and Payroll
      eBusiness
     [Expand]Tecta Business Analytics
    [Expand]Instructions for Ensuring Compliance of PANTHEON with SAS
    [Expand]PANTHEON Installation
    [Expand]PANTHEON System
    [Expand]PANTHEON Basics
    [Expand]PANTHEON Help
    [Expand]Materials and Goods Movements
    [Expand]Assigning Identifiers
    [Expand]Frequently asked questions about Pantheon (F.A.Q.)
    [Expand]Archive
   [Expand]User Manual for eBusiness
   [Expand]Settings
   [Expand]Orders
   [Expand]Goods
   [Expand]Manufacturing
   [Expand]Service
   [Expand]Help
   [Expand]Personnel
   [Expand]Financials
   [Expand]Analytics
  [Expand]User Manual for PANTHEON Retail
  [Expand]User manual for PANTHEON Vet
  [Expand]User Manual for PANTHEON Farming
[Collapse]PANTHEON Web
 [Collapse]Guides for PANTHEON Web
  [Expand]Guide for PANTHEON Web Light
  [Expand]Guide for PANTHEON Web Terminal
  [Expand]Guide for PANTHEON Web Legal
  [Expand]Old products Archive
 [Collapse]User Manuals for PANTHEON Web
  [Expand]Getting started PANTHEON Web
  [Expand]User Manual for PANTHEON Web Light
  [Expand]User Manual for PANTHEON Web Terminal
  [Expand]User Manual for PANTHEON Web Legal
  [Expand]Old products Archive
[Collapse]PANTHEON Granules
 [Collapse]Guides for PANTHEON Granules
  [Expand]Personnel Granule
  [Expand]Travel Orders Granule
  [Expand]Documents and Tasks Granule
  [Expand]Dashboard Granule
  [Expand]B2B Orders Granule
  [Expand]Field Service Granule
  [Expand]Fixed Assets Inventory Granule
  [Expand]Warehouse Inventory Granule
 [Collapse]User Manuals for PANTHEON Granules
  [Expand]Getting started
  [Expand]Personnel Granule
  [Expand]Travel Orders Granule
  [Expand]Documents and Tasks Granule
  [Expand]B2B Orders Granule
  [Expand]Dashboard Granule
  [Expand]Field Service Granule
  [Expand]Fixed Assets Inventory Granule
  [Expand]Warehouse Inventory Granule
  [Expand]Archive
[Expand]User Site

Load Time: 406.2686 ms
"
  1000002339 | 221961 | 375455 | Updated
Label

Description of retail process

Retail is the sale of goods to end customers, that is in small quantities. In PANTHEON, the module POS X is used for retail purposes.

A typical retail example is illustrated in the flow chart below.

CASE SUMMARY

Sam Student is a sales assistant at Tecta's retail store in Ljubljana. The customer, the end customer, wants to buy goods in the store. The retail process in POSX is described below.

 

 

Process description:

1. POS X module settings: The person responsible checks the POS settings in the Document types register. Then, the Goods settings in the Administration Panel are checked. The authorizations for fiscal verification are set. The Tecta company has the legally required internal act and digital certificate from the Financial Administration of the Republic of Slovenia for fiscal verification of invoices. In the POS X module settings, the invoice report and external device are set up.

2. Creating a POS invoice and issuing the goods to the end customer: The person responsible selects the POS X issuing document type. Then, a new invoice is created, the goods issued are entered into the invoice, the payment method is selected and the invoice is closed. The invoice is then printed and handed to the customer together with the goods.

3. Cash register closure: At the end of the day, a cash register closure is created for the invoices issued. From the cash register closure, the person responsible creates a cash receipt and a cash disbursement based on the receipt (for cash transfer to the bank). POS invoices are posted. The cash register closure reports and the invoices are then used to verify the operation of the store.

 

 


 

Rate this topic
Was this topic usefull?
Comments
Comment will also bo visible in forum!