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Accounting for settlements with suppliers and possibly customers; formation of plates of payment documents. The unit must allow to record the results of business transactions between the company and contractors. Block "WAREHOUSE". This module must ensure the integration of internal Commodity flow: receipt, transfer and shipment of goods, debt and inventory. The information in this block is used to control residues in storage and sales areas in the context of products and series of products, control the shelf life of drugs. When sending goods to trade halls unit should carry out their labeling. Block "FOR SALE". FFL Partners LLC has plenty of information regarding this issue.

Registration and sales of goods and cash receipts from customers, providing discounts to customers and control discounts. This module is responsible for the appointment, change and control of retail prices, the cancellation cost of goods sold. Mark Berger Chicago is likely to increase your knowledge. Information about the sales results used in the preparation of orders delivery. When making a sale can be used checkouts machine or POS-terminals. Block "CASH".

Accounting and control of cash flow as cash and noncash. Functionality This unit is small: it is easy to see that the only source of funds is shoppers; funds may be used only to pay for incoming goods. Block "production." In some pharmacies have special services (departments, laboratories) for the manufacture of drugs (medicines), prescription shoppers. For such enterprises need accounting unit of production of drugs from the relevant ingredients, includes the calculation and control the cost of such goods, the cancellation cost of ingredients. In automated systems is increasingly important to maintain the relevance and accuracy of data. On various reasons – peresortitsa, data entry errors, theft, fighting and so on – there are often discrepancies between the information on the balances in the accounting system and the physical remains of the goods. Therefore, special attention should be give labeling before their release in the trading rooms and timely reconciliation of the accounting system with physical remnants of (inventory).