(RUS) Set up Microsoft Dynamics AX to process returns during a different shift
Applies To: Microsoft Dynamics AX 2012 R3, Microsoft Dynamics AX 2012 R2
Follow the steps in this topic to set up Microsoft Dynamics AX to process return transactions for items that are returned during a shift that is different from the shift in which the items are sold at the point of sale (POS).
Prerequisites
The following table shows the prerequisites that must be in place before you start.
Category |
Prerequisite |
---|---|
Version |
Microsoft Dynamics AX 2012 R2 or AX 2012 R3 |
Country/region |
The primary address for the legal entity must be in the following countries/regions: Russia |
Related setup tasks |
|
Set up a cash office in a store
Use this procedure to set up a cash account that is used as a cash office in a store. You cannot delete a cash account that is used as a cash office in a store.
To perform this task, follow these steps:
Click Retail > Common > Retail channels > Retail stores.
Select a retail store, and then click Edit, or create a retail store. For more information about how to create a retail store, see Configurar una tienda comercial.
On the General FastTab, in the Cash office field, select a cash account to be used as a cash office for the selected retail store.
Optional: Set up the parameter to process return transactions during a different shift in the same way that you process return transactions during the same shift
Use this procedure to set up parameters to process return transactions during a different shift in the same way that you process return transactions during the same shift.
To perform this task, follow these steps:
Click Retail > Setup > Parameters > Retail parameters.
Select the Process as a return in the same shift check box to process return transactions during a different shift in the same way that you process return transactions during the same shift.
Nota
You must clear the Process as a return in the same shift check box to process return transactions by specifying the disbursement slip number or by automatically creating a disbursement slip at the POS. When you clear this check box, a fiscal receipt is not generated for the return transaction that is performed during a different shift.
Related tasks
(RUS) Post a statement for return transactions that are processed during a different shift
(RUS) Set up the refund payment method control
Technical information for system administrators
If you don't have access to the pages that are used to complete this task, contact your system administrator and provide the information that is shown in the following table.
Category |
Prerequisite |
---|---|
Configuration keys |
No configuration key is required for this task. |