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EMP Coupon Characteristics and Accounting Treatment


Description
The purpose of this document is to describe the characteristics and accounting treatment of a coupon.

Table of Contents

  1. Brief Overview
  2. Setting / Configuration
  3. /wiki/spaces/WMS/pages/32669773
  4. /wiki/spaces/WMS/pages/32669777
  5. Various Actions For Coupon
  6. Full Life Cycle of Accounting Treatment for Coupon

 

Flow

  1. Configure Coupon function in the EMP system 
    1. Please refer to Setting / Configuration
  2. Stock In Coupon 
    Go to Trading >  Purchase > Direct Receiving stock > 
    1. Select Stock in branch > click ''change'' button
    2. Select Supplier > click ''submit'' button
    3. Input Supplier Invoice/DO/Quotation> eg: 10001 > click ''save details'' button  
    4. Select item
      1. Select coupon item
      2. Price
      3. Serial number > add > save changes. 


  3. Issuing Coupon 
    1. Go to FSCS > call out coupon item > issue to the particular customer ex: Voucher - SN:108, value =RM10
    2. Confirm and save the invoice. 

  4. Redemption of Coupon
    1.  Go to FSCS > Select customer > item > Payment > Other > 


      Customer is allow to redeem the voucher by providing the coupon serial number issued to them previously to offset with their bill payment.  

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