Configuring Maestro for Travel Agency Commission Processing

Size: px
Start display at page:

Download "Configuring Maestro for Travel Agency Commission Processing"

Transcription

1 Configuring Maestro for Travel Agency Commission Processing Configuring Maestro for Travel Agency Commission Processing... 1 Configuring the Rate Type... 2 Configuring Maestro general setup... 2 Configuring Travel Agency Types... 3 Configuring Travel Agency Check Parameters... 4 Ensuring Currency Configuration for Multi Currency Check Processing... 4 Creating a Travel Agency in Front Desk... 5 Creating a Travel Agency as a Pre-Configured Selection... 5 Configuring Travel Agents Processing Commissions:... 18

2 Configuring the Rate Type The field pay Commission determines whether or not the property will pay a commission on this rate regardless of whether or not it was booked by a TA. The Days commission allows the property to specify a number of days that a commission would be paid for. If left blank, it will pay commission for all days of stay. Configuring Maestro general setup This setting controls whether or not any commissions will be paid to any travel agent at all, regardless of whether or not they have commissions.

3 Y means that commissions will be posted for the entire stay, as long as it is a commissionable stay, upon checkout. M means that commissions will be posted for the entire stay upon checkout, but will also be posted monthly for long-term guests, with certain restrictions: a guest must stay a complete month before the commission will be created. Whether a guest arrives on March 1 st, or March 31 st, the commission will not be paid until April 30 th, then every month thereafter, until the guest checks out. Configuring Travel Agency Types The example above is only one way to define your Travel Agencies. They could be defined geographically, Canada, USA, Other, or business model, Wholesale, Retail. These types are used to allow the grouping of Travel Agencies together when running reports, specifically, the TA Listing Report and the TA production report.

4 Configuring Travel Agency Check Parameters This screen allows the user to define the next check to be printed, in the field marked Remittance number. Usually, this will be set up during the initial configuration stage. However, should the property change checks or get a new batch, it is possible that the number will need to be adjusted. The number must be higher then the previous number, the computer will not allow the number to be changed to be less then the current number. It is possible, with assistance from Maestro Support, to make the number lower. The Lines Per Form field refers specifically to the TA checks and should not be adjusted once it has been configured. Ensuring Currency Configuration for Multi Currency Check Processing The next step would be to access Global Maintenance / Setup / Currency Exchange Maintenance. This step is only necessary if the property pays its commissions in different currency. If that is the case, the currency must be set up in Global Maintenance as its own posting code. It must then be added to the above screen, along with the appropriate exchange parameters. This allows the property to do a check run based upon specific currencies, as those are often withdrawn from separate accounts with separate checks. This completes the configuration necessary for Travel Agencies.

5 Creating a Travel Agency in Front Desk There are 4 items that are vital to Travel Agency Creation, and 1 that is vital in specific situations. 1. Name 2. Address 3. Commission 4. IATA # 5. Currency (Vital only if using multiple currencies) Creating a Travel Agency as a Pre-Configured Selection Access Front Desk / Night Audit / Travel Agency Then select the Agency Entry / View, which will cause the following screen to appear This is where we begin the process of creating a new Travel Agency. As elsewhere in Maestro, create using the F6 button. Maestro will bring the user to the following screen

6 Here the user will define which posting code categories the Travel Agency will receive commissions for, and the value of those commissions. Generally, one of these categories will be Room, as most Travel Agencies receive commissions based on room occupancy. It is also possible to allow commissions on other categories, such as package elements, but those must be defined in advance. After entering the information, select F4, which will return the user to the Entry / View screen.

7 Enter the new Travel Agency s name After typing the new name, select enter The computer may present a list of possible Travel Agencies, depending on whether or not the name typed in is similar to existing agencies. If the name is not on the list (creating a new one) then F4 out of the list This is a profile screen, identical to any other profile screen in Maestro. Enter relevant info address especially for sending checks

8 After entering the info, F4 Enter IATA #. This is free form, and there is no look up. It is impossible to enter an IATA number that is already in the system.

9 F8 Lookup for Agency Type and choose the appropriate agency Then F4 F8 Lookup for Currency Code / Enter only if currency is different from base currency Then F4

10 Club Member # is user defined and is not mandatory. Look up on Pay Agent Tax if the property pays any of the taxes associated with the commission. Then F4 The corporate field is for a specific client and can be ignored

11 The Travel Agency is now complete, and the user can now add specific agents to the Agency. Configuring Travel Agents This screen lists all the agents attached to this travel agency. To create a new one, select F6.

12 At which point, the user can add the relevant information. When the cursor reaches the address 1 line, the computer will prompt the user to copy the address from the Agency. This address can be changed if different. After the appropriate information has been entered, select F4 to exit the screen. The agent has now been added to the list. Select F4 to return to the Travel Agency Entry / View screen. Adding an Agency to a Front Desk Reservation (Guest or Group)

13 From an existing reservation, a travel Agency can be added to a Reservation through four separate methods, all of which have the same result. By accessing the word menu option Window a user can access Travel Agencies Assigned This can also be done by drilling done F5 on the Travel Agency field on the reservation. Or, access Additional Reservation Info

14 If the property wishes, the user can type the IATA # in that field and, as long as it exists in the system, the computer will attach the appropriate Travel Agency to the reservation. If the user enters an IATA # that does not exist in the system, Maestro will prompt the user to create a new Travel Agency. The user can also add a Travel Agency through the Travel Agency Field Selecting the More button on the bottom of the reservation can also access this. Regardless of the method, the user can look up a travel agency and add it to the reservation, or the user can add a new agency here simply by typing in the new name: The computer will prompt you with the following message: By selecting Yes the user begins the identical creation process as detailed previously. Regardless of how a travel agency is added, the Travel Agency Field will be populated with a Y once it is complete:

15 If the user wishes to add a specific Agent to the reservation, the user should access the Agency by drilling down on the Travel Agency Field. Then select Window / Agents

16 This will list all the agents that are currently attached to the reservation. To add an Agent, select F8 to look up. The user then chooses the appropriate Agent and selects Enter

17 And the name has been added to the list. FYI it is possible to add multiple Travel Agencies to one reservation, and each Agency would get a commission. If the user wishes to adjust the commission that an Agency is receiving for a specific reservation, the user access the Agency through the Drill down, then selects Window / Commission. This is the specific commission for this reservation only, the user is not changing the commissions for all reservations for the agent. The user simply accesses the appropriate field, percent or amount, and changes the value. The user can then exit back to the reservation.

18 Processing Commissions: During the Night Audit AFTER the guest has checked out, the commission for the stay will be moved into the Travel Agent section. Select Process Commissions and all Outstanding Commissions will be displayed: The user can highlight any commission in either the Res # or Name column and drill down to research the commission If the user is unsure whether or not to pay the commission, the user can place an H in the column marked PRC ;

19 This will hold that commission so that it is not processed when the rest of the checks are. If the commission should not be paid, the user can place a C in the PRC column, which will cancel the commission. The computer will move the commission to the Cancelled section when it is processed. If a commission should be paid on the stay, but the existing commission is incorrect, the commission must be cancelled and a new, correct commission must be created. Highlight an empty line, then select F6 Create;

20 If replacing an existing, incorrect commission all of this information is available in the incorrect commission record. If creating a new commission, all of this information should have been collected already. There is, however, F8 lookup functionality available. After filling out the Travel agency and the reservation number, the computer requires a rate type, and an amount. These should be entered as appropriate, then select the OK button.

21 The new commission is now present on the screen. When the user is satisfied that all commissions to be processed are correct, a travel agent commission report should be printed. Simply select the Print Report button; This displays the report parameters which can be filled out as desired, then select the OK button This will generate a report that details all of the commissions that will be processed. The user is now free to process these commissions. Simply select the Process button;

22 The computer will prompt the user for a date, which is only relevant if you wish to process reservations preceding a specific date. For example, if the Commissions have not been processed for a few months, the user may wish to process them in smaller batches. By following a defined schedule, this date becomes irrelevant. By selecting OK, the computer will take you to the All Commissions screen This lists all commissions and their status. By selecting the All Commissions button, the screen will toggle through the various options of : Cancelled, which lists all cancelled Commissions. If a commission has been cancelled in error, it can be brought back to the To Be Processed screen by removing the C from the PRC column. To Be Remitted, which lists all processed commissions that have not been printed

23 Then back to To Be Processed The To Bo Processed window now has only the one reservation that was held. The commissions have now been processed and the user can return to the Main travel agency screen.

24 In order to generate a list of those checks that will be printed on the next run, the user will select the button marked Check Register The date range defaults to a month Currency code allows the user to print a register for specific currencies Check Status Allows the user to specify the check status, but defaults to N, therefore listing the next set of checks to be printed.

25 After this report has been printed, the user can print the checks. A Maestro Specialist must have configured the checks beforehand. Simply select Print Checks The above screen will come up, defaulting to the month range. The form name is the internal Maestro name that has been assigned to the Maestro Check form configured by the Maestro specialist. Currency Code allows a property to run the checks for a specific currency. This is vital if the property has separate accounts that it draws various currencies from. Travel agent allows the user to print checks for a specific Travel Agent (there is an F8 lookup function that lists all agents, regardless of whether or not they have commissions) The user should select the Count button first;

26 This will tell the user how many checks will be printed, therefore, how many should be loaded in the machine. This number MUST match the number of checks on the Check register that was printed previously. If everything is balanced, select the OK button. The print preview screen will popup, allowing the user to verify that the printer is setup and available. Select OK and the checks will be printed. PLEASE NOTE: Do not select Cancel at this point! That will only cancel the printing of the checks, but the computer will still consider these checks as printed. The user will then have to void all the checks and recreate the commissions and reprocess them! After the checks have printed, the user should verify check numbers against the Check Register Report.

27 This completes the Travel Agent Check Processing. Once the checks begin to be cleared and they are sent back to you by the bank, you can enter that information into the system. Select Enter Cleared Checks Enter a batch number appropriate to the pile of cleared checks. This is user defined, but the same number cannot be reused.

28 When the check number is entered, Maestro will populate the rest of the information, so that it can be verified against the check in question. Enter the date it was cleared then press Enter. The user can now enquire as to the status of specific checks. From the main Travel Agency Screen, select Remittance Inquiry This will list all checks and their current status Check 8 has not been cleared, while the others processed have been paid, check has been printed, but it has not been cleared yet. If the user wishes to void a check it is accomplished from this screen. Simple Highlight the check in question, then select F7 to delete the entry.

29 The check number will populate based on the line the user is on. Press Enter brings the user to the Void button. After selecting the button, the screen will not appear to change. The user must select the Done button to return to the Remittance Inquiry screen. The Check has now been cancelled. The user can now return to the To Be Processed screen and the commission has returned.

30 This allows the user to process the commission again. This is based upon the assumption that the user is voiding a check because of physical damage to a check. The system assumes that the user wishes to pay the commission. If that is not the case, and the commission was not cancelled prior to printing, the check must still be voided and then cancelled.

Scan Physical Inventory

Scan Physical Inventory Scan Physical Inventory There are 2 ways to do Inventory: #1 Count everything in inventory, usually done once a quarter #2 Count in cycles per area or category. This is a little easier and usually takes

More information

Computer Checks/EFT Recovery Procedures

Computer Checks/EFT Recovery Procedures Computer Checks/EFT Recovery Procedures The following section covers in detail the steps required to recover from all types of situations. Please read this section carefully. If you are confused as to

More information

TCF Online Bill Pay Quick Start and Reference Guide

TCF Online Bill Pay Quick Start and Reference Guide TCF Online Bill Pay Quick Start and Reference Guide Table of Contents Quick Start The TCF Online Bill Pay... 4 Add a Payment Category... 7 Add a Memo... 8 Add a Note... 9 Help/FAQ... 10 Cancel a Payment...

More information

ezee Absolute Release Notes

ezee Absolute Release Notes ezee Absolute Release Notes Release History Version Date Type Notes 1.0.45.50 25 June 2015 Enhancement Search Transaction by Credit Card Number Enhancement Customization Enhancement Customization Customization

More information

Fidelio. Front Office. Accounts Receivable

Fidelio. Front Office. Accounts Receivable Fidelio Front Office Accounts Receivable Version 6.20 Fidelio Front Office Version 6 Fidelio Accounts Receivable V6.20 Information in this manual is subject to change without notice. MICROS Systems, Inc.

More information

Oracle FLEXCUBE Direct Banking Release 12.0.1.0.0 Retail Transfer and Payments User Manual. Part No. E52306-01

Oracle FLEXCUBE Direct Banking Release 12.0.1.0.0 Retail Transfer and Payments User Manual. Part No. E52306-01 Oracle FLEXCUBE Direct Banking Release 12.0.1.0.0 Retail Transfer and Payments User Manual Part No. E52306-01 Retail Transfer and Payments User Manual Table of Contents 1. Transaction Host Integration

More information

Retail POS User s Guide. Microsoft Dynamics AX for Retail

Retail POS User s Guide. Microsoft Dynamics AX for Retail Retail POS User s Guide Microsoft Dynamics AX for Retail January 2011 Microsoft Dynamics is a line of integrated, adaptable business management solutions that enables you and your people to make business

More information

TACS Training Manual. How TACS works

TACS Training Manual. How TACS works TACS Training Manual How TACS works Every day, we send a file to Perot. This file contains a list of all the guests that stayed at your hotel the previous day. This file is then uploaded onto the TACS

More information

Release Summary Notes Maestro Version 5.1.117 5.1.124. Front Desk

Release Summary Notes Maestro Version 5.1.117 5.1.124. Front Desk Front Desk Flash Report Option to Include Details 5.1.117 51205 A new system option (option#423) can now be configured as Y to allow the Flash Report to display Details on the Report. This system option

More information

DIRECT PAYMENTS (ACH TRANSFER MODULE)

DIRECT PAYMENTS (ACH TRANSFER MODULE) DIRECT PAYMENTS (ACH TRANSFER MODULE) Direct payments is an add on module to utility billing that allows customers to pay their utility bill by a recur ACH payment. Please note that the term ACH (Automatic

More information

Payco, Inc. Evolution and Employee Portal. Payco Services, Inc.., 2013. 1 Home

Payco, Inc. Evolution and Employee Portal. Payco Services, Inc.., 2013. 1 Home Payco, Inc. Evolution and Employee Portal Payco Services, Inc.., 2013 1 Table of Contents Payco Services, Inc.., 2013 Table of Contents Installing Evolution... 4 Commonly Used Buttons... 5 Employee Information...

More information

Chapter 3 Claims June 2012

Chapter 3 Claims June 2012 Chapter 3 Claims This Page Left Blank Intentionally CTAS User Manual 3-1 Claims: Introduction Checks All payments must be supported by an approved claim. Claims should be prepared for every check to be

More information

Data Plus Hospitality Solutions. A/P Computer Check/EFT Run Procedure

Data Plus Hospitality Solutions. A/P Computer Check/EFT Run Procedure A/P Computer Check/EFT Run Procedure Overview The following instructions outline steps that are performed during a 'Computer Check/EFT Run'. The steps must be followed in the order given. If you receive

More information

Accounts Payable Back Office Reference Guide

Accounts Payable Back Office Reference Guide Accounts Payable Back Office Reference Guide Version 4 Copyright Orion Law Management Systems, Inc. All rights reserved Printed in the United States of America www.orionlaw.com All Rights Reserved. No

More information

Microsoft Dynamics GP. Project Accounting Billing Guide

Microsoft Dynamics GP. Project Accounting Billing Guide Microsoft Dynamics GP Project Accounting Billing Guide Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed

More information

Utility Billing Software Version 10 +

Utility Billing Software Version 10 + Utility Billing Software Version 10 + Table of Contents 2 INSTALLATION... 5 LOCATION OF DATA... 5 PASSWORDS... 5 SERVICES... 11 ADDING A NEW SERVICE... 11 METERED SERVICES... 12 TRANSIENT SERVICES... 12

More information

Colorado Medical Assistance Program Web Portal Dental Claims User Guide

Colorado Medical Assistance Program Web Portal Dental Claims User Guide Colorado Medical Assistance Program Web Portal Dental Claims User Guide The Dental Claim Lookup screen (Figure 1) is the main screen from which to manage Dental claims. It consists of different sections

More information

Online Tax Filing. Customer Guide. Pay and File Federal and Provincial Business Taxes Online

Online Tax Filing. Customer Guide. Pay and File Federal and Provincial Business Taxes Online Customer Guide Pay and File Federal and Provincial Business Taxes Online April 2002 1 Table of Contents Service Pg 3 Help Pg 3 1. Adding a New Transaction Pg 4 2. Making a Filing/Payment Pg 6 3. Confirmation

More information

MICROSOFT DYNAMICS GP YEAR-END CLOSING PROCEDURES USERS GROUP MEETING

MICROSOFT DYNAMICS GP YEAR-END CLOSING PROCEDURES USERS GROUP MEETING MICROSOFT DYNAMICS GP YEAR-END CLOSING PROCEDURES MICROSOFT DYNAMICS GP USERS GROUP MEETING December 2012 Contents TIPS FOR A SUCCESSFUL YEAR-END... 4 INVENTORY... 6 What the Inventory Year-End Close Process

More information

Mastering Mail Merge. 2 Parts to a Mail Merge. Mail Merge Mailings Ribbon. Mailings Create Envelopes or Labels

Mastering Mail Merge. 2 Parts to a Mail Merge. Mail Merge Mailings Ribbon. Mailings Create Envelopes or Labels 2 Parts to a Mail Merge 1. MS Word Document (Letter, Labels, Envelope, Name Badge, etc) 2. Data Source Excel Spreadsheet Access Database / query Other databases (SQL Server / Oracle) Type in New List Mail

More information

Bank Reconciliation: Improvements for the Shelby v5 Spring 2006 Release

Bank Reconciliation: Improvements for the Shelby v5 Spring 2006 Release Bank Reconciliation: Improvements for the Shelby v5 Spring 2006 Release After loading the spring 2006 release, you will notice a few major improvements to the Bank Reconciliation module that will assist

More information

Company Setup 401k Tab

Company Setup 401k Tab Reference Sheet Company Setup 401k Tab Use this page to define company level 401(k) information, including employee status codes, 401(k) sources, and 401(k) funds. The definitions you create here become

More information

Setup of Electronic Payment File Setup

Setup of Electronic Payment File Setup Electronic Payment File (EPF) Setup and Use The Electronic Payment Lock Box File (EPF) process now supports the use of multiple bank accounts in one file. Lockboxes are a way for tenants to mail in payments

More information

Microsoft Dynamics GP. Collections Management

Microsoft Dynamics GP. Collections Management Microsoft Dynamics GP Collections Management Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document,

More information

Dues & Billing. Dues & Billing. I. Dues and Billing Overview. Welcome to Dues and Billing!

Dues & Billing. Dues & Billing. I. Dues and Billing Overview. Welcome to Dues and Billing! Dues & Billing I. Dues and Billing Overview Welcome to Dues and Billing! This feature allows you to create batches of invoices and specify members as recipients. The current functionality allows you to

More information

SharePoint List Filter Webpart User Manual

SharePoint List Filter Webpart User Manual SharePoint List Filter Webpart User Manual Version 1.1 19.09.2010 1/26 1 Inhalt 1 Inhalt...2 2 Introduction...3 2.1 Overview...3 2.2 Technical requirements...3 2.3 Features...3 3 Installation and configuration...4

More information

TCS Payment Processing Interface 1.0

TCS Payment Processing Interface 1.0 TCS Payment Processing Interface 1.0 Purpose: Integrate Shift 4 payment card processing into TCS Reservations. Setup: To configure TCS reservations for use with Shift 4 UTG. First install the Shift4 UTG

More information

Central and Remote Users Guide

Central and Remote Users Guide Central and Remote Users Guide Proprietary Rights Notice 1985-2006 IDEXX Laboratories, Inc. All rights reserved. Information in this document is subject to change without notice. Practice names, doctors,

More information

QUICK STARTUP GUIDE. ASI FrontDesk 6.0 Startup Guide

QUICK STARTUP GUIDE. ASI FrontDesk 6.0 Startup Guide QUICK STARTUP GUIDE We strongly recommend the first time users to go through the quick start up guide. This enables the user to carry out basic operations without in-depth knowledge of the software. After

More information

Working with sections in Word

Working with sections in Word Working with sections in Word Have you have ever wanted to create a Microsoft Word document with some pages numbered in Roman numerals and the rest in Arabic, or include a landscape page to accommodate

More information

Asset Track Getting Started Guide. An Introduction to Asset Track

Asset Track Getting Started Guide. An Introduction to Asset Track Asset Track Getting Started Guide An Introduction to Asset Track Contents Introducing Asset Track... 3 Overview... 3 A Quick Start... 6 Quick Start Option 1... 6 Getting to Configuration... 7 Changing

More information

INSTRUCTIONS FOR USING HMS 2014 Scoring (v2.0)

INSTRUCTIONS FOR USING HMS 2014 Scoring (v2.0) INSTRUCTIONS FOR USING HMS 2014 Scoring (v2.0) HMS 2014 Scoring (v2.0).xls is an Excel Workbook saved as a Read Only file. Intended for scoring multi-heat events run under HMS 2014, it can also be used

More information

Job Streaming User Guide

Job Streaming User Guide Job Streaming User Guide By TOPS Software, LLC Clearwater, Florida Document History Version Edition Date Document Software Trademark Copyright First Edition 08 2006 TOPS JS AA 3.2.1 The names of actual

More information

TheFinancialEdge. Configuration Guide for General Ledger

TheFinancialEdge. Configuration Guide for General Ledger TheFinancialEdge Configuration Guide for General Ledger 071012 2012 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic,

More information

Point of Sale Procedures. Quick Reference

Point of Sale Procedures. Quick Reference Point of Sale Procedures Quick Reference Hard Copy Not Controlled Controlled Copy Available On-line Table of Contents How To Charge to Charge Accounts... 1 Closing an Open Check... 2 Creating a Recipe...

More information

Sync Guide. Sync Overview. Before the Event. During the Event. After the Event. Greater Giving Event Software

Sync Guide. Sync Overview. Before the Event. During the Event. After the Event. Greater Giving Event Software Sync Guide Sync Overview Timeline Equipment Terms + This guide will instruct you on how to transfer data between Greater Giving Event Software and Auctionpay Master terminal Before, During and After your

More information

Microsoft Dynamics GP. Electronic Banking

Microsoft Dynamics GP. Electronic Banking Microsoft Dynamics GP Electronic Banking Copyright Copyright 2007 Microsoft Corporation. All rights reserved. Complying with all applicable copyright laws is the responsibility of the user. Without limiting

More information

Creating Cost Recovery Layouts

Creating Cost Recovery Layouts Contents About Creating Cost Recovery Layouts Creating New Layouts Defining Record Selection Rules Testing Layouts Processing Status Creating Cost Recovery Layouts About Creating Cost Recovery Layouts

More information

a hotel s guide to THE REFERENCE BOOK

a hotel s guide to THE REFERENCE BOOK a hotel s guide to THE REFERENCE BOOK section 1 For questions about: Participation or hotel performance within the priceline program Priceline reports Or to speak with your priceline Regional Revenue Manager

More information

Gateway2Travel Manual

Gateway2Travel Manual Gateway2Travel Manual Hotels Transfers www.gateway.be 1 Content GENERAL 3 1. USE 4 1.1 ACCESS... 4 1.2 START SCREEN... 4 1.3 INDIVIDUAL SETTINGS (PER PC)... 4 2. HOTELS 5 2.1 SELECTION SCREEN... 5 2.2

More information

Supply Chain Finance WinFinance

Supply Chain Finance WinFinance Supply Chain Finance WinFinance Customer User Guide Westpac Banking Corporation 2009 This document is copyright protected. Apart from any fair dealing for the purpose of private study, research criticism

More information

SmartLink for Outlook User Guide

SmartLink for Outlook User Guide SmartLink for Outlook User Guide Copyright 1998-2006 E-Z Data, Inc. All Rights Reserved No part of this documentation may be copied, reproduced, or translated in any form without the prior written consent

More information

Retail POS Quick Reference Guide

Retail POS Quick Reference Guide Retail POS Quick Reference Guide 1 Overview This Quick Reference Guide shows how to set up and configure the Retail Point of Sale (POS) module, and use this module to post sales transactions directly from

More information

for Sage 100 ERP Work Order Overview Document

for Sage 100 ERP Work Order Overview Document for Sage 100 ERP Work Order Document 2012 Sage Software, Inc. All rights reserved. Sage Software, Sage Software logos, and the Sage Software product and service names mentioned herein are registered trademarks

More information

Automated Inventory System

Automated Inventory System Automated Inventory System User Manual Developed by USDA Food and Nutrition Service June 2009 (Incomplete) Table of Contents Welcome Menu Client Services Report System Inventory System Operations Tailgate

More information

COMMUNICATIONS... 1 COMMUNICATIONS...

COMMUNICATIONS... 1 COMMUNICATIONS... Communications COMMUNICATIONS... 1 COMMUNICATIONS... 2 MAINTAIN OWNERS... 3 COMMUNICATIONS MENU... 6 Activate TOPS imail... 6 Select Plan... 7 Contact Info... 7 Billing Info... 8 Setup... 9 Configure TOPS

More information

Check Writer Program

Check Writer Program Starting the Check Writer Program: Check Writer Program 1) You can start the Check Writer program from the main menu of your rating software by clicking on the button. 2) You should be prompted to enter

More information

OVERVIEW AND TERMINOLOGY

OVERVIEW AND TERMINOLOGY ACH Online Services OVERVIEW AND TERMINOLOGY There are ACH terms and definitions that are helpful to understand in order to use the ACH Online Service. In addition, there are basic tasks (accessing ACH

More information

2009-2013 Autosoft, Inc. All rights reserved.

2009-2013 Autosoft, Inc. All rights reserved. Copyright 2009-2013 Autosoft, Inc. All rights reserved. The information in this document is subject to change without notice. No part of this document may be reproduced, stored in a retrieval system, or

More information

North Dakota University System Accounts Payable Processes

North Dakota University System Accounts Payable Processes Accounts Payable Processes Voucher Post Pay Cycle Payment Post Training Manual 3130 Kilgore Road, Suite 400 Rancho Cordova, CA 95670 916.669.3720 www.maximus.com ACCOUNTS PAYABLE BATCH PROCESSES OVERVIEW...3

More information

USER MANUAL (PRO-CURO LITE, PRO & ENT) [SUPPLIED FOR VERSION 3]

USER MANUAL (PRO-CURO LITE, PRO & ENT) [SUPPLIED FOR VERSION 3] Pro-curo Software Ltd USER MANUAL (PRO-CURO LITE, PRO & ENT) [SUPPLIED FOR VERSION 3] CONTENTS Everyday use... 3 Logging on... 4 Main Screen... 5 Adding locations... 6 Working with locations... 7 Duplicate...

More information

Education Solutions Development, Inc. APECS Navigation: Business Systems Getting Started Reference Guide

Education Solutions Development, Inc. APECS Navigation: Business Systems Getting Started Reference Guide Education Solutions Development, Inc. APECS Navigation: Business Systems Getting Started Reference Guide March 2013 Education Solutions Development, Inc. What s Inside The information in this reference

More information

9 Vendors. Add Vendor. Edit Vendor. Vendors is designed for simple vendor management. The main view is a Vendor List, a

9 Vendors. Add Vendor. Edit Vendor. Vendors is designed for simple vendor management. The main view is a Vendor List, a 9 Vendors Vendors is designed for simple vendor management. The main view is a Vendor List, a summary of all vendors. Tabs at the bottom of the page help you navigate Vendors: Vendor List, Vendor Details,

More information

CONSOLIDATIONS. Either the full amount or a specified percentage of a particular company's financial information

CONSOLIDATIONS. Either the full amount or a specified percentage of a particular company's financial information CONSOLIDATIONS Consolidation means combining the financial statements of two or more separate companies into consolidated financial statements. In the program, each individual company involved in a consolidation

More information

Travel & Expense Reimbursement System Information IBM GERS SYSTEM

Travel & Expense Reimbursement System Information IBM GERS SYSTEM Travel & Expense Reimbursement System Information IBM GERS SYSTEM 1 Table of Contents Page(s) Contact for Questions/Concerns. 3 T&E Information...4 Getting Started with GERS (First Time Registration).....5-10

More information

TriCore Secure Web Email Gateway User Guide 1

TriCore Secure Web Email Gateway User Guide 1 TriCore Secure Web Email Gateway User Guide This document provides information about TriCore Secure Web Email Gateway. This document is for users who are authorized to send and receive encrypted email

More information

Microsoft Word 2011: Create a Table of Contents

Microsoft Word 2011: Create a Table of Contents Microsoft Word 2011: Create a Table of Contents Creating a Table of Contents for a document can be updated quickly any time you need to add or remove details for it will update page numbers for you. A

More information

Client Marketing: Sets

Client Marketing: Sets Client Marketing Client Marketing: Sets Purpose Client Marketing Sets are used for selecting clients from the client records based on certain criteria you designate. Once the clients are selected, you

More information

TheFinancialEdge. Journal Entry Guide

TheFinancialEdge. Journal Entry Guide TheFinancialEdge Journal Entry Guide 101811 2011 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including

More information

HP External Hard Disk Drive Backup Solution by Seagate User Guide. November 2004 (First Edition) Part Number 373652-001

HP External Hard Disk Drive Backup Solution by Seagate User Guide. November 2004 (First Edition) Part Number 373652-001 HP External Hard Disk Drive Backup Solution by Seagate User Guide November 2004 (First Edition) Part Number 373652-001 Copyright 2004 Hewlett-Packard Development Company, L.P. The information contained

More information

Legal-X Help. Line Item Tax

Legal-X Help. Line Item Tax S Legal-X Help Line Item Tax Copyright Information: Legal-X, Allegient, Legal exchange, Bottomline Technologies and the BT logo are the trademarks or service marks of Bottomline Technologies (de), Inc.

More information

Phaser 3635MFP Software Upgrade Process

Phaser 3635MFP Software Upgrade Process Overview Phaser 3635MFP Software Upgrade Process The Software Upgrade feature allows the customer to upgrade the machine software as requested by a Xerox Customer Support Center Representative, without

More information

How to Concatenate Cells in Microsoft Access

How to Concatenate Cells in Microsoft Access How to Concatenate Cells in Microsoft Access This tutorial demonstrates how to concatenate cells in Microsoft Access. Sometimes data distributed over multiple columns is more efficient to use when combined

More information

Detailing T-Card Charges. A. If the traveler and the card holder are the same follow these instructions:

Detailing T-Card Charges. A. If the traveler and the card holder are the same follow these instructions: Detailing T-Card Charges A. If the traveler and the card holder are the same follow these instructions: 1. Find the TA or TR that applies to each charge. If it is still a TA you will need to convert it

More information

Integrated Accounting System for Mac OS X

Integrated Accounting System for Mac OS X Integrated Accounting System for Mac OS X Program version: 6.3 110401 2011 HansaWorld Ireland Limited, Dublin, Ireland Preface Standard Accounts is a powerful accounting system for Mac OS X. Text in square

More information

Microsoft Dynamics GP. Field Service Preventive Maintenance

Microsoft Dynamics GP. Field Service Preventive Maintenance Microsoft Dynamics GP Field Service Preventive Maintenance Copyright Copyright 2011 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed

More information

PaymentNet Federal Card Solutions Cardholder FAQs

PaymentNet Federal Card Solutions Cardholder FAQs PaymentNet Federal Card Solutions It s easy to find the answers to your questions about PaymentNet! June 2014 Frequently Asked Questions First Time Login How do I obtain my login information?... 2 How

More information

Nexsure Training Manual - Accounting. Chapter 6

Nexsure Training Manual - Accounting. Chapter 6 Nexsure Training Manual - Accounting Journal Entries In This Chapter Journal Entry Definition Journal Entry Overview Adding Journal Entries Setting up Automatic Recurring Entries Using General Ledger Allocation

More information

Once form has been completed by one or more employees the information can be entered on the employees direct deposit screen.

Once form has been completed by one or more employees the information can be entered on the employees direct deposit screen. Banyon Data Systems, Inc. DIRECT DEPOSIT MODULE BDS Direct Deposit or ACH (Automated Clearing House) allows your entity to transfer its employee s pay directly to their bank accounts. This module does

More information

CNC Transfer. Operating Manual

CNC Transfer. Operating Manual Rank Brothers Ltd CNC Transfer Operating Manual Manufactured by: Rank Brothers Ltd 56 High Street, Bottisham, Cambridge CB25 9DA, England Tel: +44 (0)1223 811369 Fax: +44 (0)1223 811441 Website: http://www.rankbrothers.co.uk/

More information

To successfully initialize Microsoft Outlook (Outlook) the first time, email settings need to be verified.

To successfully initialize Microsoft Outlook (Outlook) the first time, email settings need to be verified. TO: UAN CLIENTS FROM: UAN STAFF DATE: OCTOBER 8, 2008 SUBJECT: Steps for Initial Setup of Microsoft Outlook To successfully initialize Microsoft Outlook (Outlook) the first time, email settings need to

More information

Features for France. Microsoft Corporation. Published: November 2006

Features for France. Microsoft Corporation. Published: November 2006 Features for France Microsoft Corporation Published: November 2006 Microsoft Dynamics is a line of integrated, adaptable business management solutions that enables you and your people to make business

More information

Sage Abra SQL HRMS System. User Guide

Sage Abra SQL HRMS System. User Guide Sage Abra SQL HRMS System User Guide 2009 Sage Software, Inc. All rights reserved. Sage, the Sage logos, and the Sage product and service names mentioned herein are registered trademarks or trademarks

More information

MSI Accounts Receivable Version 4.0

MSI Accounts Receivable Version 4.0 MSI Accounts Receivable Version 4.0 User s Guide Municipal Software, Inc. 1850 W. Winchester Road, Ste 209 Libertyville, IL 60048 Phone: (847) 362-2803 Fax: (847) 362-3347 Contents are the exclusive property

More information

GuestCentrix Property Management System Product Data Sheet

GuestCentrix Property Management System Product Data Sheet Product Data Sheet Copyright CMS Hospitality 2007 The flagship module of the GuestCentrix software suite, is the GuestCentrix PMS. A mature and feature-rich application, the GuestCentrix PMS enjoys widespread

More information

To export data formatted for Avery labels -

To export data formatted for Avery labels - Information used to create labels in the Client Data System (CDS) can be exported out of CDS and used to create labels in Microsoft Word, making it possible to customize the font style, size, and color.

More information

USER GUIDE. Rev 9/05

USER GUIDE. Rev 9/05 USER GUIDE Rev 9/05 Document Change History Contents Contents About This Guide ii Document Change History iii Section : Transaction Central - CHAPTER : Getting Started...-3 CHAPTER 2: Credit Card Transactions...-9

More information

NINTEX WORKFLOW TIPS AND TRICKS. Eric Rhodes

NINTEX WORKFLOW TIPS AND TRICKS. Eric Rhodes NINTEX WORKFLOW TIPS AND TRICKS Eric Rhodes Table of Contents Eric Rhodes 1 Label It 2 Document Your Workflows with Action Labels Going Way Back 3 Backup Workflows with the Export Feature Name That Variable

More information

Inventory Computers Using TechAtlas for Libraries

Inventory Computers Using TechAtlas for Libraries Inventory Computers Using TechAtlas for Libraries WebJunction.org 9/11/2008 Table of Contents Introduction... 3 Additional Resources... 3 Your Computer Login... 3 TechAtlas Login... 3 Browser Options...

More information

AT&T Online Fax User Guide Version 1.0

AT&T Online Fax User Guide Version 1.0 AT&T Online Fax User Guide Version 1.0 Welcome to AT&T Website Solutions SM We are focused on providing you the very best web hosting service including all the tools necessary to establish and maintain

More information

ReadyTalk for Salesforce User Guide

ReadyTalk for Salesforce User Guide ReadyTalk for Salesforce User Guide Revised 11/8/2013 2 Contents Getting Started... 4 What is ReadyTalk for Salesforce?... 4 Installing and Configuring the AppExchange Application... 5 User Types and Settings...

More information

Client Manager User Guide. Version 1.2 Last update: 30 April 2015

Client Manager User Guide. Version 1.2 Last update: 30 April 2015 Version 1.2 Last update: 30 April 2015 TABLE OF CONTENTS 1. Connecting to Client Manager 2 1.1. Logging into the system 2 2. Client Level Features 3 2.1. Group Availability 3 2.2. Client Selection 4 2.3.

More information

UMB Web Exchange. User s Guide

UMB Web Exchange. User s Guide UMB Web Exchange User s Guide UMB Web Exchange User Guide for Information Reporting, Check Management Check Inquiry and Check Stops, Check Management Positive Pay, and ACH Version 1.1 CONFIDENTIAL INFORMATION

More information

Backup Tab. User Guide

Backup Tab. User Guide Backup Tab User Guide Contents 1. Introduction... 2 Documentation... 2 Licensing... 2 Overview... 2 2. Create a New Backup... 3 3. Manage backup jobs... 4 Using the Edit menu... 5 Overview... 5 Destination...

More information

Windows XP Pro: Basics 1

Windows XP Pro: Basics 1 NORTHWEST MISSOURI STATE UNIVERSITY ONLINE USER S GUIDE 2004 Windows XP Pro: Basics 1 Getting on the Northwest Network Getting on the Northwest network is easy with a university-provided PC, which has

More information

TAA Forms for Windows

TAA Forms for Windows USER S GUIDE TAA Forms for Windows CONTENTS TABLE OF CONTENTS WELCOME...3 System Requirements and Recommendations...4 Understanding Form Clicks...5 Instructions for Online User s Guide...7 Conventions

More information

Sample Table. Columns. Column 1 Column 2 Column 3 Row 1 Cell 1 Cell 2 Cell 3 Row 2 Cell 4 Cell 5 Cell 6 Row 3 Cell 7 Cell 8 Cell 9.

Sample Table. Columns. Column 1 Column 2 Column 3 Row 1 Cell 1 Cell 2 Cell 3 Row 2 Cell 4 Cell 5 Cell 6 Row 3 Cell 7 Cell 8 Cell 9. Working with Tables in Microsoft Word The purpose of this document is to lead you through the steps of creating, editing and deleting tables and parts of tables. This document follows a tutorial format

More information

Printer Maestro. True Enterprise Print Management for Windows WHITE PAPER

Printer Maestro. True Enterprise Print Management for Windows WHITE PAPER Printer Maestro True Enterprise Print Management for Windows WHITE PAPER Contents Overview 3 The Printer Maestro Service 4 Installing the Printer Maestro Service 4 Managing the Printer Maestro Service

More information

Merchant Interface Online Help Files

Merchant Interface Online Help Files Merchant Interface Online Help Files Table of Contents Merchant Interface Online Help Files... 5 Tools... 6 Virtual Terminal... 7 Submit a Credit Card Charge... 7 Submit a Credit Card Refund... 9 Submit

More information

? Index. Introduction. 1 of 38 About the QMS Network Print Monitor for Windows NT

? Index. Introduction. 1 of 38 About the QMS Network Print Monitor for Windows NT 1 of 38 About the QMS Network for Windows NT System Requirements" Installing the " Using the " Troubleshooting Operations" Introduction The NT Print Spooler (both workstation and server versions) controls

More information

Recurring Work Orders - Overview. Purpose. Generating Tasks

Recurring Work Orders - Overview. Purpose. Generating Tasks Recurring Work Orders - Overview Purpose The purpose of this document is to outline all the elements that could effect work orders from regenerating themselves. Generating Tasks Whenever the program executes

More information

ACCOUNTS PAYABLE VOUCHER ADJUSTMENT

ACCOUNTS PAYABLE VOUCHER ADJUSTMENT ACCOUNTS PAYABLE VOUCHER ADJUSTMENT TRANSACTION ENTRY OVERVIEW Use Vision Transaction Center to enter and maintain data on various types of transactions, such as disbursements, expenses, invoices, and

More information

Postage Accounting Module User Guide

Postage Accounting Module User Guide Postage Accounting Module User Guide Table Of Contents INTRODUCTION...1 ACCOUNTING PRINCIPLES...1 Access Postage Accounting...2 LOGGING IN AND SECURITY...2 SETTING THE INTERACTION BETWEEN POSTAGE ACCOUNTING

More information

Inventory Manager. Getting started Usage and general How-To

Inventory Manager. Getting started Usage and general How-To Getting started Usage and general How-To Before you begin: Prerequisites: o SQL Server 2008 R2 Express Edition with the default SQLEXPRESS instance MUST be installed in order to use. If you do not have

More information

UOFL SHAREPOINT ADMINISTRATORS GUIDE

UOFL SHAREPOINT ADMINISTRATORS GUIDE UOFL SHAREPOINT ADMINISTRATORS GUIDE WOW What Power! Learn how to administer a SharePoint site. [Type text] SharePoint Administrator Training Table of Contents Basics... 3 Definitions... 3 The Ribbon...

More information

Deltek Touch Time & Expense for Vision 1.3. Release Notes

Deltek Touch Time & Expense for Vision 1.3. Release Notes Deltek Touch Time & Expense for Vision 1.3 Release Notes June 25, 2014 While Deltek has attempted to verify that the information in this document is accurate and complete, some typographical or technical

More information