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Accounting Dashboard
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General Accounting Set up
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Chart of Accounts
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Day to Day Transactions
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Sales
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Banks & Bank Reconciliations
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Fixed Assets
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Year/Month End
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Reports
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Purchase Order approval
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POS
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Purchasing
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Non stock purchasing
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Expense Module
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Shopify Sales
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Invoice Reminders
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Customer Statements
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Tax
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Supplier Batch Payment
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Product Categories
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Inventory Valuation Journals
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Analytic Accounts
How to setup a new Payment gateway in Odoo
01. Go to the shopify module >> Configuration >> Payment Gateway
02. Click New to add a new payment gateway.
03. Update the following details,
i) Name - Name of the payment gateway
ii) Code - Code given by shopify (you can use the above mentioned name)
iii) Instance - Instance/ site which for which we are creating this payment gateway iv)Click Save
04. Once you have configured the payment gate way, now you have to set up the auto workflow, To do that Go to configuration >> Sale Auto Workflow05. Click New
06. Update the following details
06. A) Name - Name for the auto workflow
06. B) Payment Journal - Should be created in the accounting module
- Go to the Accounting module >> configuration >> Journals
2. Click New
3. Update the following details,
Journal Items tab
i) Journal Name - Relevant name for the journal
ii) Type - Bank
iii) Company - Relevant company for what we are creating this journal
iv) Bank Account - Relevant GL account to be created & mapped
v) Suspense Account - You can use the bank suspense account
vi) Profit Account - You can use the cash difference gain account
vii) Loss Account - You can use the cash difference loss account
viii) Short code - Provide a short code to identify the Journal entries easily
ix) Other settings can be kept as default
Incoming Payments tab - Same GL account (Clearing account shopify/ stripe NZ) should be allocated to both Manual & Batch deposit incoming payment methods
Outgoing Payments tab - Same GL account (Clearing account shopify/ stripe NZ) should be allocated to both Manual & Batch deposit outgoing payment methods
Advanced settings - Nothing to be done here
06. C) Debit Method - You can keep it as Manual
06. D) Sales Journal - Customer invoices
06. E) Workflow options - If you need to make any of the below activities to work automatically you can tick the relevant activity
06. F) Shipping policy - You can select either Deliver all product at once / Deliver each product when available
06. G) Click Save
07. Then you have to set up the Financial status. To do that Go to configuration >> Financial Status
- Here setting up four financial statuses separately is mandatory
- Instance - Relevant instance for which we are creating the financial status
- Payment Gateway - The gateway which we created earlier (shown above)
- Payment Term - Immediate Payment
- Financial status - (These four statuses should be created separately)
i) The finances have been partially paid
ii) The finances have been paid
iii) The finances have been refunded
iv) The finances have been partially refunded
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