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ID
0022337
TypeCategorySeverityReproducibilityDate SubmittedLast Update
defect[Retail Modules] Web POSminoralways2012-11-17 23:532012-11-17 23:53
ReporteremartinezView Statuspublic 
Assigned Toadrianromero 
PrioritynoneResolutionopenFixed in Version
StatusnewFix in branchFixed in SCM revision
ProjectionnoneETAnoneTarget Version
OSAnyDatabaseAnyJava version
OS VersionDatabase versionAnt version
Product VersionSCM revision 
Review Assigned To
Regression level
Regression date
Regression introduced in release
Regression introduced by commit
Triggers an Emergency PackNo
Summary

0022337: G/L Items in cash up not well associated for different terminals in same store

DescriptionI have the following requirement: store manager needs to know when all terminals have been cashed up (for the same store). Since we don't have any report yet, or anything like that, I thought of configuring different G/L Items for cash up for each terminal.

For that I had to configure different POS terminal Types, since G/L Item for cash up is specified there (Feature Request -> G/L Item could be specified by pos terminal, instead of terminal type)

Then, the Close even is the same for all terminals (they all go to the same financial account in the backoffice).

Then I do the Cash up for terminal 2. If I go to the financial account of the backoffice (were money is transferred) then i see the G/L Item for cash up of terminal 1
Steps To ReproduceGo to White Valley
1) Go to Pos terminal Type and create a new type for a second terminal in vall blanca. Create it exactly the same, except the g/l item for the cash up, where you need to create a new g/l specifically for this second terminal
2) Create the new terminal from Pos Terminal and select the second type of terminal you just created. Select the same close cash even as the first terminal

Then go to web pos wiht the second terminal, do a sale paying with cash. Verify everything is correct. Cash up.

Go to the ERP, to Financial Account window. Select the financial account for Cash in the Backoffice (where you should be the cash amount just transferred from terminal 2 to the backoffice due to the cash up).

Now see the G/L Item associated is the one corresponding to terminal one and not the one you just created for termina 2.
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- Issue History
Date Modified Username Field Change
2012-11-17 23:53 emartinez New Issue
2012-11-17 23:53 emartinez Assigned To => adrianromero


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