Table of Contents

Payment Advance

Liberty allows you to enter a payment advance if you want to provide a consignor with a portion of what they are owed, even if they are not yet owed a payment. For example, a payment advance could be entered for a consignor who needs cash before they are due a payment. So if a consignor is owed money at the end of the month but needs funds before then, you would be able to give them an advance.

  1. There are two ways to Access the Payment Advance wizard. Through Inventory Module, and through the Point Of Sale.
    • In Liberty Inventory, Lookup the account to be paid.
      NewItem2140.png
      From the Task menu, select Pay Advance.
      NewItem2139.png
    • From the POS Hub Select the More button.
      NewItem2138.png
      Select the Payment Advance button.
      NewItem2137.png
      The Select Account dialog box will open. Choose your account and select the OK button at the bottom.
      NewItem2136.png
      The Payment Advanced dialog box will open.
      NewItem2135.png
  2. Use the Payment Account drop-down to select the account from which you withdrawing funds.
    NewItem2134.png
  3. Enter the Amount of the advance.
    NewItem2133.png
  4. Enter in a Check Fee if you wish to charge for one.
    NewItem2132.png
  5. Press the OK button to continue.
    NewItem2131.png

Post Payments Dialog Fields

  1. Press the OK button to finish the payment, or Cancel button to stop and start over.
    NewItem2129.png
  2. You will get a confirmation box making sure the print out printed correctly. Press the OK button if it did, press Cancel if you need to redo it.
    NewItem2128.png

If you make a mistake, follow the instructions provided in the section entitled Reverse a Posted Payment.

Next Article In Section

Click the following link to move to the next article in this section:
Pay One Account at a Time

Payment Advance Payouts Overview Assessing Fees to Accounts and Items Change Payment Account for Multiple Accounts Reverse a Posted Payment Determine Amount Payable to an Account Holder How to setup check fees How To Set A Check Address Offset Clear Checks Combine/Reconcile open Transactions Credit/Debit a Client Account