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Processing over the counter payments

Your organisation may receive cheques, cash, money orders, credit card or electronic funds transfer (EFT) payments over the counter.

Important Note: EFT refers to any payment where the information goes straight to the bank. This includes EFTPOS payments and credit card payments where you swipe the credit card through an EFTPOS machine. The Credit Card type is only used where you need to notify the bank to give them a list of credit card transactions, for example when you use credit card slips, or when the customer provides their credit card details to you.

  1. Process the payment as you would a cheque payment. If the payment is from a debtor, see Processing cheques from debtors, otherwise see Processing other (non-debtor) cheques. On the Payment Detail tab, select the appropriate Payment Type.

    Cash Receipts Entry - Payment Detail tab (cutdown)

  2. For a Credit Card payment, select the:
  3. Select Print Receipts.

    Note: Synergetic can be set up to print receipts automatically.

  4. Process the payment to fees or allocate to the general ledger as for a cheque payment.

Last modified: 4/10/2012 12:05:04 PM

See Also

Entering cash receipts

Debtor Cash Receipts Entry - Payment Detail tab

Debtor Cash Receipts Entry - Fees tab

Debtor Cash Receipts Entry - G/L Allocations tab

Cash Receipts Entry - Posting Action

Processing cheques

Adding new cash receipts postings

Selecting existing cash receipts postings

Entering payments against individual transactions

Putting a debtor in credit

Processing dishonoured cheques

Modifying reconciled receipts

© 2013 Synergetic Management Systems. Published 15 October 2013.

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