1.800.949.3330    m-f 8:30am - 5:00pm EST
   
  
  
  
 
 
   
  
 
	
	
	Pro Gold i2 Online User Manual
		
 
Chapter 21 - Processing Credit Payment for Agent Invoic
Process Overpayment of Outstanding Invoice(s) Method
        Process Manual Payment 
 
       - Go to Receive  Payments Icon
- Select agent and  enter payment info:
        - At “DEP   TO ACCT” block, select Debit G/L account (i.e., 1090 Undeposited Funds)
- Place a check in CK block (if personal check applies)
- Enter check # of  Agent’s check in “Check Number”  block (if personal check applies)
- Enter amount of  payment in “Amt Paid” block
- Allocate payment  to invoice:
    - Select Coins Icon in “Pay” block of each  invoice to allocate payment up to $ amount of the invoice 
- Do each invoice  one at a time until all invoices have been paid
- Select “Post Payments” button to apply payments
- Select “Yes” at Over Payment Detected Screen to create a credit memo
- Select “OK” once payment successfully applied
- Select “Done” to complete process
- Process Payment from Agent’s Commission Check
        - At Deduction Calculation Screen
- After verifying  agent’s commission check info (placing a check in the Verify box)
- Select “Agent Receivables” button
- Verify/enter  amount to be paid in the “Amt Paid”  block
- Note 1:  Increase amount paid if agent  desires to overpay 
- Note 2:  Cannot use Auto Allocate if overpaying 
- Allocate payment  to invoice:
    - Select Coins Icon in “Pay” block of each  invoice to allocate payment up to $ amount of the invoice 
- Do each invoice  one at a time until all invoices have been paid
Select “Post Payments” button to apply payments
         - If overpaying, select  “Yes” at Over Payment Detected Screen to create a credit memo
- Select “OK” once payment successfully applied
- Select “Done” to complete process
 
	
  
 
	 
Pro Gold i2 Links