Posting transactions to folios
To post a transaction to a folio:
Note:
- No Post: If this check box is selected the postings are restricted to that
account.
- On selecting a closed account, a consent message is displayed.
- The check box cannot be selected for these accounts:
- Advance Deposit
- Credit Card
- Cross Prop Charge
- Gift Card
- When transfer instructions are in place, the transactions are routed from one folio to another as they are posted.
When an account is configured as tax exempt, but the transaction code used for posting is configured with a Tax Group, the taxes are still calculated but the tax lines are not posted on the account’s folio. The tax posting information is stored in a Tax Exempt table for later reference and reporting. All accounts except the following can be classified as tax exempt :
- Gift Card
- Credit Card
- Advance Deposit
- Sundry Account
-
In the
FOLIO DETAILS section,
specify this information:
- Folio
- Specify the folio. The charges are posted to the given folio.
- Transaction
- Specify the
transaction
code.
Note: The transaction code description can be changed if the property's parameter DESOVR is enabled. Refer to Property parameters.
- Item
- Specify the item that you want to post. The item description is populated by the system. The Transaction Code field is populated by the system based on the non-rom item selected. The amount for which the guest must be charged is calculated by the system, and does not include additional taxes.
- Amount
- Specify the amount that you want to post in the
folio. Note: You cannot specify a negative value in this field if the PREVENTNEGATIVEPOST property parameter is selected.
- Net Amount
- Displays the net amount that does not include taxes.
- Quantity
- The number of items used by the guest.
- A/R Account
- Specify the A/R account. This field is enabled only when the folio is set to Accounts Receivable. The A/R account listed on the record view is displayed.
- A/R Status
- The status of the A/R account. For example, active or inactive.
- Billing Reference
- The billing reference required for the A/R account.
- Originating Booking System
- The name of the external booking system for the OTA (Online Travel
Agency) to directly bill the charges.Note: You must specify this value if Require Originating Confirmation Number check box is selected for the A/R Account on Property A/R Account screen.
- Originating Confirmation Number
- The confirmation number of the booking system.Note: The application populates this value.
- Line
- Displays the selected line number of the account.
- Transfer To
- The confirmation number to which you transferred the charges.
- Transfer From
- The confirmation number from which the charges are transferred.
- Billing Postal Code
- The postal code of the billing address of the card
- Posting Amount in Guest Currency
- Displays the amount that must be posted, in the currency used by the guest.
- Adjusted
- The check box is selected by the system when you select a
folio
posting that needs to be corrected and click
Correct/Adjust Record. The transaction
code that is configured for adjustment is defaulted by the system in the
Transaction field.
Note: The transaction code that you want to correct or adjust must be configured to allow adjustment. For more information refer to Adding a property transaction code.
- Date
- Displays the date on which the folio correction is carried out.
- Original Post Date
- The date on which the transaction is first posted.
Note:
- This date is displayed only if the OPT_ORIGINALPOSTDATE optional parameter is enabled, and the posting has been transferred to the original folio.
- The original post date is displayed only on these reports:
- Folio
- Folio Account Detail
- Folio for Japan
- Folio Account Detail for Japan
- Folio Package Information
- Folio Package Information Account Detail
- Folio Package Information Transaction Summary by Date
- You can enable the OPT_SHOWTRANSFERDATE optional parameter to display the posting date, which has been transferred to the final folio, in the Comment section of the report. If a text exists in the Comment section, this date is added to the comment with the ‘Transferred on’ label.
- Tax Invoice Number
- Displays the tax invoice number.
- Invoice as Tax Exempt
- The system selects the check box to indicate that no tax group is associated.
- Invoice as VAT 0%
- The system selects the check box if the tax group has VAT 0% field selected.
- Invoice as VAT
- The system selects the check box if the Report as VAT check box is selected in the Transaction Codes tab of the Tax Group page.
- Offset
- The system selects the check box if the system posts a balancing charge in the folio.
- Inclusive Tax
- The system selects the check box to indicate that tax levied is inclusive tax.
- Tax Group
- Displays the tax group used to post the taxes.
- Tax Amount is Percentage
- The system selects the check box to indicate that the tax is calculated as a percentage of the posted amount.
- Tax Amount
- Displays the tax amount that is posted.
- Package Reference
- Displays a package identifier which is used to track the package charge and the items charge that are included within the package.
- Charge Reference Number
- Displays a unique number for each transaction.
- Originating Charge Reference Number
- Displays a reference number that allows you to relate a tax to the charge that caused the tax to be generated.
- Alternate Package Tax Calculation Used
- If this check box is selected by the system, the alternate package tax calculations for the non-room items are printed on the report.
- Service Charge
- If this check box is selected by the system, the service charge details are printed on the report.
- Service is Taxed
- If this check box is selected by the system, the tax levied on the service charge is printed on the report.
- Lease Number
- Displays the lease number the guest is associated to.
- Lease Period
- Displays the lease period the charge was generated in.
- Originating Booking System
- The name of the external booking system for the OTA (Online Travel
Agency) to directly bill the charges.Note: You must specify this value if Require Originating Confirmation Number check box is selected for the A/R Account on Property A/R Account screen.
- Originating Confirmation Number
- The confirmation number of the booking system.Note: The application populates this value.
- POS Voided Check Number
- The check number of the charge which is voided by the POS.Note:
- When the voided charge is comped the application reverses the comp to avoid the credit on the folio.
- The application populates this value based on the check voided by POS Cashier.
- Always Post/Do not Separate
- The application selects the check box based on the transaction
code configured in the Tax Group screen. Note: The tax is either included or excluded when the charge is transferred, adjusted or discounted.
- Installments
- The number of payment installments available for the guest stay
record.Note:
- The values for this field are defined in the Global Codes.
- The installment amount is displayed when the selected card has an unused authorization amount.
- Click Save. The transaction is posted to the folio.
- Alternatively, click Activate Reader if you have the electronic payment processing interface implemented at the property. Refer to Processing a chip and pin payment card.
-
Click Print
Receipt to print out a receipt for the payment. The button is enabled
when the transaction that you want to print is of type payment or paid-out. You can
also click Print Receipt to generate the
Cash Receipt including the Currency Exchange Transaction information for the selected
line on the Folio tab.
Note: In Russia, the Cash Bank is automatically assigned based on the Workstation ID URL specified on the Device screen. To enable the feature:
- The value of the FISCAL property parameter must be set to RU.
- The FORCETAXINVONPAYMENT property parameter check box must be selected.
- If the Cash Journal session variable of the current user is blank, the user is not assigned to an individual bank however, one or more shared banks are in use.
- The user must post a transaction code for which the Paid Out check box is selected.