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Horizon Manuals » Horizon Manual » How to find Trader (F9) Ledger Detail

Topics

  • Sales Orders & Returns 23
    • Creating a Sales Order
    • Creating a Sales Returns
    • Adding Items to a Contract from a Sales Order
    • Find Hidden Transactions
    • Adding Notes on Sales Orders
    • Creating & Processing Repeat Sales
    • How to create a back to back purchase order from a sales order
    • How to create a Call Off order
    • How to confirm a Delivery status on a Sales order from D when completely delivered.
    • How to convert a Sales Return into a Sales Credit.
    • Removing traffic light from line in SORD (Reshop)
    • How to add in Adhoc Invoice address.
    • How to add in an Adhoc delivery address revised
    • How to amend changed delivery dockets – shortages etc and reprint.
    • Locating Post Code on a Map
    • Changing trader in Sales Order
    • Change VAT Rate on Item in a Transaction
    • How to remove an item from a delivery note after its been delivered
    • Saved Layouts for Sales Order Daybook
    • Using search to find old Sales Orders
    • Highlight Duplicates in Sales Orders
    • Hiding I status Orders
    • Contacts within Sales Order
  • Sales Ledger 10
    • Adding New Sales Receipts
    • Adding Sales Journal Invoice
    • How to create a journal entry to Write off Overpayments and Bad Debts
    • Raising credit notes using the Raise Invoices and Credits option
    • How to Invoice individual orders
    • Reversing a Invoice into a credit note
    • How to credit someone for an over charge
    • How to raise a manual sales credit note for overcharge on a invoice.
    • How to write off an underpaid invoice amount when putting on the sales receipt.
    • Creating a VAT only Credit Note
  • Pricing & Contracts 22
    • Catalogue contract matrix spicers
    • Catalogue Contract Matrix Vow
    • Creating a Fixed Margin Contract on a Matrix Range
    • Sharing Deals Across Traders
    • Setting up Product Quantity Breaks
    • Change Pricing Methods
    • Prevent Customers from Seeing a Particular Catalogue
    • Hide a contract on website
    • Importing contracts into Horizon
    • Turn a Quote into a Contract
    • Sharing Deals Across Numerous Traders in Bulk
    • How to create a Sales Quotation
    • Giving a Free Item with a Product
    • Copying contracts and changing traders of copied contracts
    • How to create a new contract.
    • Using the Contract Wizard
    • How to reprice a quote or contract using a fixed margin
    • Creating a Fixed Margin Contract for Specific Items
    • Change Catalogue Expiry Dates
    • Preventing Customers Recieving Specific Deals
    • Recost a Group of Contracts
    • Recost a Group of Orders
  • Purchase Orders & Returns 5
    • Creating & Processing Purchase returns
    • How to book in Purchase orders
    • How to book in Partial Purchase orders
    • Creating Purchase Orders using the shopping process
    • How to deal with Shortages on Purchases Orders
  • Purchase Legder 7
    • Creating a Direct Payment to a Supplier
    • Adding a Overhead Invoice
    • Creating a Manual Purchase Payment
    • Automatic Payments to Suppliers
    • Converting Purchase Orders to Purchase Invoices
    • Creating Monthly Repeating Expenses
    • Combining Two Purchase Orders into One Invoice
  • EDI Orders & Invoicing 4
    • Collecting EDI Invoices from Suppliers
    • Collecting Supplier Terms File
    • How to send Purchase Orders electionally using Wholesaler Comm's
    • Matching Substitute Codes in EDI Invoices
  • Stock Control & Management 26
    • Spicers & Vow Shortages
    • Switch Sell or Replace Products Globally
    • Setting up Customer Product Swaps
    • Merging Items Together
    • Unmerge Stock Items
    • Adjusting Stock via Product Card
    • Adjusting Stock using Stock Movements
    • How to create a Stock Adjustment or Movements for stock for own use
    • Removing unwanted lookups
    • How to change an item that was marked as discontinued back into use
    • Change item that is set to prevent sale
    • How to create Automatic lines to be added to an order
    • How to modify a Product Description or Pricing on a Product Card
    • Exporting Product Information to Excel
    • How to create a new Product card or copy and modify another card.
    • How to look up stock/product card F8
    • Adding Images to Your Own Products
    • Serial Numbered Items, Setup, Booking In and Delivering Out
    • Product Cost Price History
    • Converting Sales order into Stock Movement
    • Add a Brand to Product Cards
    • How to change the vat rate on a product code.
    • Using the Stock Take module
    • Moving items from one catalogue to another
    • Hide item on Horizon Web
    • How to mark an item as discontinued
  • Command Centre 5
    • Checking for Logged on Machines
    • Restarting the Command Centre
    • Checking Server for Login Problems
    • Stopping the Database to Remove Users Hogging the User Licence count
    • Exporting Information to Evolution
  • Traders 30
    • Add a Trader
    • Creating A VAT Exempt Customer / Supplier
    • Setting up a trader for Monthly Invoicing
    • Changing Distribution Types
    • Export Trader Contacts to Excel
    • Creating & Applying Trader Groups
    • Setting up Trader Specific Forms
    • Adding a Mailer Contract to a Customer
    • Setting up Customers to Receive Completed Deliveries Only
    • Sending Copy Invoices by Email from Credit Control
    • Add a Department to a Trader
    • Modify address on Trader Card
    • Add a Delivery Branch to an Account
    • How to add Pop-up Notes to a Trader Card
    • History section of trader card
    • How to find Trader (F9) Ledger Detail
    • GAP Analysis on Trader Card
    • Setup a Trader Branch for Pick & Wrap Orders
    • Setting the Default Catalogue on the Supplier Trader Card
    • Defining a Rep for a Customer Contact
    • Selecting Reports for Customers to run on Horizon Web
    • Moving a Contact from One Branch to Another
    • How to set up traders to allow sending invoices etc to multiple email addresses
    • Matrix Analysis by Range Per Trader
    • Adding Trader History to Contracts
    • Finding Leads (L type) accounts
    • Marking on Old Trader as out of use or dead
    • Displaying & Exporting Customer Email Addresses
    • Setting a customer to Pick & Wrap Delivery
    • How to use Call Manager combined with the Credit control screen
  • Nominal 3
    • Bank Reconcilation
    • Nominal Journals
    • Adding a Nominal Code
  • Processing Options 14
    • Posting Sales Transactions
    • Posting Sales Receipts
    • Printing Statements
    • Invoicing - Print Only
    • Reprint A Batch Of Invoices
    • Invoicing - Monthly Invoices
    • Invoicing by email
    • How to send out credit control terms letters
    • Basic Debt Chasing with the Check Credit Status Option
    • How to create and print delivery dockets in a batch.
    • How to Reprint a Delivery Note batch
    • Producing Meter Reading Invoices
    • Sending Electronic Remittances to the Wholesalers
    • How to use the shopping option in processing to raise purchase orders.
  • Setup 18
    • Activations of Periods.
    • Adding in New VAT Period(s)
    • Closing VAT Period
    • Add a Rep Code
    • Changing the System VAT Rate
    • Closing a Period after Month End
    • Running a VAT Report
    • How to amend company contact details
    • Change Company Logo
    • How to add a new company contact and login details for same
    • Posting Zero Priced Invoices
    • Prevent Posting Zero Priced Invoices
    • Hiding Account Transactions
    • Adding in Additional Sectors,Ranges or Groups
    • Auto Start Daybook Locations
    • How to set up a margin limit on a particular range and groups
    • Add in Area Code
    • Setting up auto confirm for transactions
  • General 33
    • Increasing the number of transactions displayed in a daybook
    • Printing Reports to File to Access Via Excel
    • Merging Transactions
    • Changing VAT Rate on a Transactions
    • Change Trader on Transactions
    • Saving Documents (Hosted System Only)
    • Connecting to Technician Via Website
    • Users passwords and Security Settings
    • Changing Year and Period on transactions
    • How to Email a Delivery Docket to a Customer
    • How to Amend details on a Posted Invoice.
    • How to use the Call Manager option.
    • How to login to Horizon
    • How to Print out Copy invoices, copy delivery dockets etc
    • How to log into the Training Server
    • How to set-up till logins
    • Email Screen Settings
    • Print to File
    • Sorting in Transactions
    • Deleting a Call from Call Manager
    • Display Modes
    • How to create and save different layouts on screens
    • Creating a Delivery Note Template
    • Creating a Invoice Run Template
    • Adding fields to the Analysis screen or Pivot Tables
    • How to make the horizon top tool bar reappear.
    • How to add in/modify a nominal code on a transaction that won't post.
    • Making a catalogue the lead catalogue
    • How to create a catalogue
    • Saving transactions to PDF format
    • Colour Code on Transaction Boxes
    • Auto Distribution of Catalogues
    • Connecting to Horizon on Remote Server (remoteapp)
  • Utilities 6
    • Choosing Your Favourite Reports
    • Importing Product Files
    • Price Manager
    • Load Report into Horizon
    • Setup up a new catalogue and import a product file
    • Import Product File for Standard Import
  • Horizon Web 8
    • Being Notifed of Web Orders
    • Limit a Contact to Ordering from One Department
    • Hiding Catalogue on Horizon web site
    • Set up Basic Web Access for customers to allow online ordering
    • Creating Web Offers
    • Creating a Web Order Pad from a Contract
    • Running Reports on Horizon Web
    • Setting up Order Authorisation on Horizon Web
  • Buying Group Specific Lesson 5
    • Advantia Quantity Breaks
    • Truline Branch Level Stock Enquiry
    • Truline Terms file Update
    • Truline Delivery Confirmations
    • Truline Redundant Products

Last Updated

Aug 26, 2010

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Other Resources

  • Horizon Manual
  • Getting Started with Horizon
  • Horizon Web

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  • Prev: History section of trader card
  • Next: GAP Analysis on Trader Card

How to find Trader (F9) Ledger Detail

How to find a trader (f9), look at the ledger tab.

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1 Click on the Trader button or Press F9 on your keyboard

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1. Enter the code for the relevant trader either fully and partially, if a partial code is entered a number of options may be found
2. Scroll down and highlight the relevant trader and click on it.

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Once the trader card opens, click on the Ledger Button.

Search Tab

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1. When above screen opens, it is highlighted on the search tab, within this option you can search by
2. Specific document that is SORD, SINV, SCRN CONT, SDEL by entering the type in the document box.
3. By Ref that is name of whomever orders, or Purchase order no etc.
4. By Rep
5. You can search a particular date range or do all dates.

In this instance I have just done a search for all types for all dates.

Orders and Returns Tab.

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1. Within this screen it is going to show all the Sales order and returns with a status C, P, D or blank
C = Completely delivered not yet invoiced
D = Delivered not yet confirmed
P = Partially delivered
Blank = not yet delivered.

2. If you untick the hide completed box, it will bring up all orders invoiced/credited, paid or not.

3. When looking at this screen you are able to see if any orders on Hold, Disputed. Posted is not relevant to this tab.

4. You can email/print out a sales order or a sales return by just clicking on the print button.

Financial Ledger Tab

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1. This Screen shows all the invoices on the account not yet paid.
2. Untick the hide completed box and all invoices paid will appear.
3. If the posted button is ticked the invoices has been posted if not those invoices still need to be posted to the account.
4. You can print out a copy of the statement
5. Show age will give a breakdown of the aging of the account.
6. Print will allow you to print out a copy of whatever document is highlighted.
7. When a receipt is highlighted and not yet allocated the allocate button ungrey to allow it to be allocated.
8. Also when a document (sinv or srec) is highlighted if you click on the show allocation button it will show how the receipt has been allocated or what receipt reference was allocated to a invoice.
9. Hold button allows you to put on or take off a document on hold
10. Dispute allows you to put on or take off a document in dispute

  • Prev: History section of trader card
  • Next: GAP Analysis on Trader Card

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