SJB Academy
Last update:
07/05/2026
Completed
Multiple addresses (billing/shipping)
4 Views •Sales Reporting
4 Views •Common ZATCA rejection errors
4 Views •Multi-company management
4 Views •Purchase Return
4 Views •Journals
4 Views •Receipts & deliveries
4 Views •Product categories
4 Views •Dashboards
4 Views •ZATCA customer data requirements
4 Views •POS Setup
4 Views •Create a quotation
4 Views •Inventory count & adjustments
4 Views •Lots/Serials & Expiry Tracking
4 Views •Product variants & barcodes
4 Views •Languages & localization
4 Views •Profit & Loss Report
4 Views •Add a vendor
4 Views •Purchase Order
4 Views •Balance Sheet
4 Views •POS Accounting & Invoicing Integration
Each session posts accounting entries on close, and a simplified tax invoice can be issued. Correct wiring makes POS sales appear in the books and VAT return.
Path: Point of Sale ← Configuration
- Open Point of Sale ← Configuration ← Point of Sale and select the register.
- Under accounting, link the correct Sales Journal and POS/Cash Journal.
- Ensure each payment method maps to the right account (cash to till, card to bank/intermediary).
- Enable Invoicing and pick the invoice journal for Simplified Invoices.
- Check product taxes are 15% tax-included.
- On close, review the entry via Journal Items to confirm sales + VAT + collection tie out.
- For simplified invoices, confirm the ZATCA QR code prints on the receipt.
- Reconcile card settlements against the bank via Accounting ← Bank Reconciliation.
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