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Receipt setup ​

Goal ​

Configure accounts, permissions, and defaults so receipts post cleanly.

Who it is for ​

Tenant admin / finance admin.

Preconditions ​

  • Sales module enabled (receipt APIs are under sales).
  • Treasury bank accounts / cashboxes exist.

Steps ​

  1. Create bank accounts and cashboxes under Treasury with the correct currency and GL mapping.
  2. Ensure chart of accounts / system accounts support AR settlement and bank/cash posting.
  3. Assign receipts.view and receipts.manage on roles (separate from sales.*).
  4. Confirm open accounting periods for the dates cashiers will use.
  5. Optional: document cheque / portfolio receipt flows if your tenant uses them.
  6. Train users: receipts post on create; allocate to open invoices carefully so amounts do not exceed open balance.

Result ​

Cashiers can record receipts without unknown-account or period failures.

BlueMatrix Help — product documentation for tenants