Maintain Venders
Maintain Venders are used to enter and change the suppliers and company’s
information who are supplying products to us which can be on credit basis and
on cash basis.
Now move your curser to maintain menu and click over, you will
find the option falling down just select the second option that is “Vender"
like following window:
When you will click on you will find the following window:
Here the upper side is known as “Header” and the lower side
is known as “Tabs”.
In “Vender ID” you have to write the ID related to your
vender like 100,200,300 and something like that,
And in “Name” you have to write the name of your vender like
Ali Furniture.
In look-up button you can find the find the venders that already
exist.
Now in “General Tab” you have to write the information
regarding your vender like his contact, Account Number, Address and such forth.
Click on the next tab that is “Purchase Default” when you
will click over your window’s display will be look like that following picture.
Here you have to write who is your “Purchase Rep”“Purchase
Account”
And also can select the medium like Paper or E-mail.
The next Tab is “Custom Field” when you will click over your
display will be look look like the following picture:
Here you can write the extra information like the office
manager, account representative and such forth.
The next and last tab is “History” when you will click over
your display will be look like the following picture:
Here you can maintain the History like the Vender Since,
Last invoice Date, Last invoice Amount, Last payment date and Last payment
Amount.
Vender Default Information
Now moving on we are going to discuss that is a customer
become a defaulter how can we measure it and how can be base for. Move you
curser to “Maintain” and click over
as you will click a list will fell down, here you will find the 11th
option that is “Default information”
when you move your curser to that point a sub list will be appeared, here the
second option is “Vender”. You can
follow the picture below.
In first Tab you will find “Payment Terms” and several options related to it that are:
By default this window will look like the above picture but
as you will click on C.O.D you window display will be changed like the
following picture.
Here I would like to tell you a term that is:
C.O.D:
This is stands for
Cash on delivery means when the good will deliver then cash will be received.
You will see that the display has been changed and you will see that you can
make changes only in Credit Limit.
As you will click on the “Pre paid” your display will be
remain same like the above picture.
Prepaid:
This means that
you are paying the amount in advance. But as you will click on the “Due in
Number of days”, your window’s display will be changed like the following
picture;
Due in number of days:
It means that you
are determining that the amount will pay with in this period. And as you will
click on “Due on day of next month” your display will be changed like the
following picture.
Due on day of next month:
It means that the
amount should be pay on that particular day of next month. And as you will
click on “Due at end of month” your display will be look like the picture
below,
Due at end of month:
It means that
the amount should be pay at the end of a particle month.
Next Tab is “Account Aging” when you will you click over you’re
your window will b look like:
Here you can determine how much period has been past.
Next Tab is “Custom Field” when you will click over your
window will be look like:
Here you can check or uncheck the options that will appear
in the Vender Tab.










































