Help with POS behaviour
Posted by Iain Fogg on
URL: http://ofbiz.116.s1.nabble.com/Help-with-POS-behaviour-tp174892.html
If you process a customer return via the POS application, it always
seems to think that the payment type is CASH, whether you select CASH,
CHECK, or CREDIT on the payment screen. (In this context, "payment" is
actually a refund).
Consequently, the accounting ECAs are updating the wrong account - CASH
IN REGISTER is credited instead of the default GL account for whatever
"payment" method you select (eg, IN TRANSIT FROM CREDIT CARD SUPPLIER
for a CREDIT CARD refund).
Frankly, I can't see where the payment type is being set to CASH in POS,
so I'm starting to suspect there may be an ECA further downstream that
is assuming any negative amount (refund) needs to be handled as a cash
transaction, but that's just because I'm starting to clutch at straws :-)
Also, can some kind soul tell me how to turn on verbose debugging in POS
- setting the global verbose flag in
framework/base/config/debug.properties doesn't seem to do the trick.
Tips/pointers appreciated, Iain
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