Refunding a Customer
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You can add refunds for customer accounts.
Before you start
- In Bank Services, on the Banks screen, for each bank you use to issue refunds, specify the check stock and check forms to use when refunding by check.
- Update currency information and exchange rates in Common Services.
- Identify the rate type, rate date, and exchange rate to use for each multicurrency refund you plan to add to the batch.
- Create or select the refund batch to use.
- If you use optional fields, define optional fields for refund transactions.
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If you use Payment Processing and you are refunding a transaction paid by credit card:
- A credit card payment must have been processed and settled in Paya, and the batch containing the transaction must have been posted in Sage 300.
Note: If the transaction you are refunding was entered in Order Entry, you must run Day End Processing before you can select the transaction on the A/R Refund Entry screen.
- You must have a working Internet connection.
- A credit card payment must have been processed and settled in Paya, and the batch containing the transaction must have been posted in Sage 300.
To add a refund:
- Accounts Receivable > A/R Transactions > Refund Entry.
- Create a new refund batch or open an existing refund batch.
- Enter general information for the refund. More...
- Specify the payment type. More...
- In the detail table, add refund details. More...
- Click Save to add the refund entry.
The Credit button becomes available.
- If all or part of the refund is by credit card, apply the credit to the card. More...
- Click Save to save the refund entry.
After adding the refund
- Print the refund batch listing.
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If you are refunding by check, print the check and post the refund batch. For more information, see: