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Payment Adjustment
Payment Adjustment
Rick Eggleston (Unlicensed)
Jeff Duke
Owned by Rick Eggleston (Unlicensed)
Payment Adjustment
Payments are collected through a register, and recorded as a cash asset via the Cashier screen. If a Payment is entered incorrectly, it can be corrected via the Accounting screen → Payment Adjustment tab. When the payment is adjusted, appropriate adjustments are made to the register. Likewise, a credit or debit will be posted to the client's account to reflect the change.
User Interface
Data Model
Data Flow
Reports
Example T-Accounts
VetView Wiki Most recent releases of VetView: Version 5.0.2 and 4.2.8 Hotfix (Released 12/20/2024)
Definitions
Refer to the 'Inventory and Accounting Definitions' wiki page for the definition of inventory and accounting terms, and for details about fields and controls.
Contents