This page will explain how to set up a
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customer within Vision Commerce.
Before you read the information below, it may be useful to watch the quick
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YouTube video that explains the setup of a customer
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This tab shows the Accounts Transactions for the current Customer
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You will need to click the Get Sage Data button at the bottom of the screen to get the latest transactions from the Account Software
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.
To create a customer the following would need to be set up first:
Analysis Codes
Nominal Control Accounts
VAT Code
Country
Currency
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To create a customer the following would need to set up first
Analysis Codes
Nominal Control Accounts
VAT Code
Country
Currency
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Image RemovedYou will need to enter a unique Account Reference. Once this has been saved this can’t be changed Refresh button to make sure you are looking at the latest data for the current Customer. Get Accounts Data button to request Commerce check that it has the latest accounts information imported. Sales Analysis button to open the Customer Sale Analysis details screen. The arrows at the top of the screen will allow you to move between the Customers that you have set up in Commerce.
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This tab contains the most often used Customer Details. Image RemovedDetails that need to be entered to save the customers in this tab The 1st line of the address, Town, PostCode, and Country Currency Default Payment Method Primary bank account VAT Code Status The Legal Type can either be set to 'Natural Person' or 'Business'.
Details that you may wish to enter for the customer The VAT Reg Number would normally be Supplied by your Customer if they are VAT Registered The Line% Discount if set will be applied Line By Line to any Price List in use for this Customer. Price List Group that will be used for the current Customer. Duty - Commonly known as Excise Duty Enter the Deferment Account Code for the account paying the Excise duty. By default, this will be set to your duty deferment account code (not the number). If you have a customer paying the duty then this needs to be set to the customers' duty deferment code (which should be obtained from the warehouse) This is known as a duty deferred order.
CCT - Commonly known as Customs Duty, applicable for any goods coming from outside the EU Enter the Deferment Account Code for the account paying the Customs duty. By default, this will be set to your duty deferment account code (not the number). If you have a customer paying the duty then this needs to be set to the customers' duty deferment code (which should be obtained from the warehouse). This is known as a duty deferred order.
If you are using a Carrier Service you can select the appropriate one here. Delivery Times (Earliest and Latest Time 1 and Time 2 Whether you can enter a single time span, the minimum gap between the Earliest and Latest times, the minimum gap between Time 1 and 2, and whether you must include a Time 1 and/or Time 2 will be determined by your Customers expectations and the limits set by the Warehouse you use.
Warehouse Delivery Service you can select the appropriate in the Wh Delivery Service field. Delivery Instructions you want to appear on all Orders for the current Customer. Picking Instructions you want to appear on all Orders for the current Customer. GDPR Options: Leave it blank Anonymous - when this option is chosen the GDPR information will not show for the current User unless that User's account is set to view Anonymous PII. Forgotten - if this option is chosen and there are no outstanding Sales Orders associated with the Customer account, any PII information will be deleted and accounts archived. For more information please see GDPR Statement and Admin - User Maintenance pages
The Date Created and Reference will automatically by the system once the customer has been saved and cannot be changed You can group Customer Accounts as a Group by entering a Customer Account Code in the Group A/C field. Check the Exclude From Reports field to stop this Customer from showing on Reports. Delivery Point Email will be used as the default of the Sales Order Delivery Point Email If the Default to Sending SO Acknowledgement field is checked the current Customer will receive an Email when a Sales Order has been placed for them.
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This tab includes information for Financial and Sales analysis and reporting Image RemovedThe Financials section The following fields information only show when the Get Accounts Details button has been clicked Credit Limit Account Balance Outstanding Order Value Last Invoice Date Spend This Year Spend Last Year Is On Hold? Account Status
All information is held in the Account Software. Settlement Sett. Due Days - the customer to settle outstanding amounts in Days Sett % Discount - if the customer has to settle their account early, they will receive a discount
If the Customer is On hold in the Account Software, you will need to tick the On Hold field
The Analysis Section Credit Review Section Memo for any Financial or Analysis notes that has not to be covered in the above section Export Option Email will be the email that all the documentation that is generated for the customer. Default printer Name will default to Specify at time of printing however you can select a named printer from the list below if the printers are setup Invoice Generation Not Required field will prevent the Invoices from being generated To see the Sale Order Processing (SOP) to the Individual contacts you will need to tick the Use Contact List
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By default invoices will be sent to the default account email address. If you want to send the email to any Contact in the Contact List that has the SOP Docs field ticked, you must tick the Use Contact List field on the analysis tab. You can send to the default or the contacts list (not both). |
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This tab allows you to add Contacts and assign them to Mailing Lists Image RemovedFor details to be sent to the contact, you would need to make sure there is an email address and that SOP Docs are ticked. Tasting Notes can be automatic sent to the Contacts for the Customer if they have a valid email address and Tasting Notes is ticked To enter a new contact you will need to add it to the blank row at the bottom To add the Contact to the Mailing List, you will need to click on the Mailing list button and this will bring up all the Mailing List that the contact can be apart of
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This tab can be used to record one or more Delivery Addresses to be used. Image RemovedThe Delivery Address is used in the Sales Order if the delivery address is different from the Customer main address To create a new Delivery Address, click on the Add New button and this will load the Customer Delivery Address screen Once you have a unique Del Point Code, this can’t be changed once the Delivery Address have successfully saved for the first time The Del Point Code cannot be used again (even if the Delivery Address is marked as Archived). The formatting of the Address depends on the specifications given to you by your Warehouses and your Carriers but most will expect the first line of the address, the Town, Postcode, and Country to be filled in. The Legal Type can either be set to 'Natural Person' or 'Business'. GDPR Options: Leave it blank Anonymous - when this option is chosen the GDPR information will not show for the current User unless that User's account is set to view Anonymous PII. Forgotten - if this option is chosen and there are no outstanding Sales Orders associated with the Customer account, any PII information will be deleted and accounts archived.
Delivery Times - the possible Start and End times, whether you can include none, one or two delivery slots and the time difference between the two slots will depend on limits set by your Warehouse or Carrier. Delivery Instructions and Pick Instructions are both sent on outgoing files to your Warehouse or Carrier to be included on Warehouse and Delivery Notes. Analysis Details are categorise the current customer for reporting and extract purposes. The Credit Card Details are used for the Sales Order if this Delivery Address is used
The View/Edit Details button will show the Customer Delivery Address screen where some fields are read-only This screen will also show the Customer Delivery address that have been archived
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This tab contains setup information about your Customer if you store Reserves for them Image RemovedYour Paid Reserves should not be stored in the same Warehouse account as your main trading stocks. The Reserve Warehouse is the default Warehouse that the Stock will be landed in when doing a Transfer to a Paid Reserve for this Customer Warehouse Alternate Account Code is the code for the Reserve Warehouse will be using Trading Customer Stocks Storage Charges This section will be set up if you are charging for the Storage for the Stock for your Customers' Paid Reserves By default, we charge by the bottle per month and we generate an annual charge and then pro-rata charges throughout the year. Charge per bottle (single) is per month Minimum Charge Per Rotation
Web Administration Use this section to set up your Customer to logon to the web system. Web Logon Enabled field will allow the Customer to be able to log on via your website Web Trading Enabled field will aloo this customer to trade through your website
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This tab shows a list of all Stock that is stored Paid Reserve and Unpaid Reserves for this customer. Image Removed |
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This tab can be used to check the Products and Prices on any Customer Price Lists Image Removed |
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This tab shows a list of all Sales Orders associated with the current Customer Image RemovedBy default this list will show all the Outstanding Status for the Sale Orders, but you can also see all the other status by ticked the Display All Orders in the top right of the tab View button against one of the Sales Order in the list will open the Sale Order.
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Main Form
This section covers everything you need to enter on the top & bottom lines of the customer form, if you want to see what is required on the tabs then select from the tab pages below.
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Next Button → These buttons will only be displayed if you opened an already created customer record.The buttons appear on the left and right side of the customer maintenance screen, where you can click and be directed to the previous or the next customer record. |
Fields to fill in - Header
Account → This is a short code for your customer, it has to be unique for each customer. It works best for reporting when you have a format that is easily searched so a consistent format is a great way to do this. e.g. ‘SMITH01’, ‘JONES23’, ‘RETAI14’.
Name → This is the account name or customer name.
Client of → This will always show your own company, however, it is possible to show other company names here (alternatives), what would then happen is that the SOP documents to the customer would then be presented with the alternative company information. It allows you to have a trade as a company.
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This alternative company is an optional feature available to those who require it, there is a small charge to use this feature. |
Status → There are three statuses available,
Live - The active accounts.
Prospect - Accounts that you have not traded with yet.
Archive - Accounts that are no longer trading.
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You can only process orders with a live account, if the account is set at another status it will ask you to change it to the 'Live' status and it will check to ensure all details are complete before allowing you to enter the order. |
Date Created/ Reference → The date created will be the current date, it can’t be changed. The Reference number will be given once the customer record is saved.
Buttons - Footer
Refresh → If something has changed elsewhere in the system such as you added a new price list, then you will have to refresh in order to see it in the dropdown.
Sales Analysis → Details of products the customer has been purchasing over a given period of time.
Get Accounts Data → Where this is allowed we can obtain the customer's account transactions and information from the finance system which will be visible on the transaction tab and the analysis tab.
Each tab has its own pages, Click any to know more about it.
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