SJB Academy
Last update:
07/05/2026
Completed
Purchase Return
2 Views •Languages & localization
2 Views •POS Setup
1 Views •Apps & dashboards
2 Views •Units of measure
1 Views •Add a ZATCA-compliant customer
1 Views •Dashboards
1 Views •Add a vendor
1 Views •Users & access rights
1 Views •Returns & Credit Notes
1 Views •Journal Entries
1 Views •Bank Reconciliation
1 Views •Product categories
1 Views •Warehouses & locations
1 Views •Product variants & barcodes
1 Views •Pricelists
1 Views •Lots/Serials & Expiry Tracking
1 Views •POS Accounting & Invoicing Integration
1 Views •Profit & Loss Report
1 Views •Inventory count & adjustments
1 Views •POS Setup
Before opening the register, configure the POS: payment methods, hardware, company/branch, and available products — so sales flow cleanly into accounting.
Path: Point of Sale ← Configuration ← Point of Sale
- Open Point of Sale ← Configuration ← Point of Sale and click New (or edit an existing register).
- Name it and set the correct Company if you run multiple companies/branches.
- Under Payment Methods add Cash and Bank/Card; each links to an accounting Journal.
- Set the accounting journals used by the session (sales + cash).
- Under Products, pick the categories shown in the interface.
- Configure Hardware / IoT: printer, cash drawer, barcode scanner.
- Enable Invoicing so a tax invoice can be issued on request.
- Save, then click Open Register to test the setup.
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