Invoice Manager

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Invoice Manager provides the underlying framework for most online transactions, including Account Management, automated billing, account reporting, and asset reporting. It includes both automated and manual billing features. Other addon collections such as the Ecommerce Cart and Membership Manager use the common Invoice Manager framework to provide a consistent commerce and reporting interface.

Contents

Getting Started

To install Invoice Manager please contact Contensive.

To use Invoice Manager, go to the /admin backend and open tools in the Navigator. Click Invoice Manager to open.

To Add an account, click the Add button on the main account list page. Enter at least a unique account name and hit save. To modify an existing account, click on the account in the account list to screen see the account detail screen. Account features can be edited here, and more advanced features are accessible through the Edit link. Account contacts listed on the account detail screen can be selected from anyone associated with the account. To edit account contact details, click the edit next to the name.

Terms

Account 
The entity with which transactions are made.
Account user 
A person listed in the Users tab of the Account screen. Everyone in this list receives account subscriptions.
Account purchaser 
An account user who can purchase online using the account's purchasing rights. This is controlled by setting the account drop-down in the person's record. All account purchasers should also be added to the account users list. The system will automatically, periodically add all purchasers to the account user's list.
Account Terms 
Days to Pay (for billing accounts only) -- this is the number of days after the purchase date that the customer has to pay.
Account Transaction 
A log that records previous transactions.
Account Transaction Document 
A list of Account Transactions exported as as one group.
Anniversary Date 
The anniversary date is the upcoming date which represents another year of membership. When the account pays for a membership invoice that covers a period beginning on or past the Anniversary Date, the Anniversary Date is automatically set to the next year and the account is added to the Membership Kit Fulfillment report. For example, if the Anniversary Date is 2/5/2010 and a membership invoice is paid which covers 2/1 to 2/28, the Anniversary Date does NOT change. In this case, the next invoice covering 3/1/2010 to 3/30/2010 would automatically change the Anniversary Date to 2/5/2011. Another example, if the Anniversary Date is 5/1/2012 and a membership invoice is paid that covers 5/1/2012 to 5/31/2012, then the Anniversary date DOES change because this invoice period begins on (or after) the Anniversary Date.
Anonymous Account 
Can be enabled in settings. When enabled, this account is used for anonymous purchases. This means if a component that uses ecommerce allows users to purchase without authenticating, those purchases will be tracked on the anonymous account. Users cannot access the account, it cannot hold payment options, and it cannot include subscriptions.
Completed Order 
An order that the customer has indicated is ready to purchase.
Canceled Order 
An unpaid order that is marked to cancel
Cancellation Grace Period 
Settable in Membership Settings, this is the number of days after the Grace Period that the account will remain expired and users will NOT have site privileges before the membership is cancelled, and membership invoices are cancelled.
Certification 
An ongoing process of maintaining a certified status for a field. Ecommerce provides a mechanism for maintaining certification in multiple fields.
Certificate 
A one-time achievement of successfully completing a course. Ecommerce provides a mechanism for providing certificates in multiple fields.
Charged Through Date 
This is the last date that has been charged to a subscription or membership. If the charge is paid, this is the last date that the subscription is valid. The subscription expires on the next day, which means the subscription is expired and cannot be used on the next day.
Deferred Transactions 
When an invoice is paid, an account transaction is created. If the item has been configured with a differed transaction, a payment transaction is created between revenue and the deferment G/L account and deferred transactions are created in the Account Deferred Transactions table with future dates. For each deferred transactions, on its date, it will be removed and an equivalent account transaction will be created. Items are configured to create deferred transactions by specifying the deferment account, the deferment date, and the number of deferment transactions needed. For instance, you can defer a meeting payment until the meeting date, or defer an annual membership payment to show membership income on a monthly basis.
Due Date 
when payment is expected.
Expiration Date 
The last date of the current membership's period. On the following day, this account will be expired if it is not renewed. The Grace Period starts on the day after the Expiration Date. The Cancellation Grace period starts the day after the Grace period. For example, if a membership expires on March 15th, the membership is valid on March 15th, and is expired on march 16th.
Fulfillment 
The process of delivering goods to the customer as a result of an order.
Grace period 
Settable in Membership Settings, this is the number of days after the account expires the users still have access to membership privileges. When the Grace Period is over, users will be removed from groups.
Invoice 
The document generated from an order record, generally unpaid.
Invoice Date 
the date that the order is billed.
Items 
Things that can be purchased.
Join Date 
The date when the account last purchased a membership type and previously had no membership type. If an account has no membership type, and one is purchased, this date is set. It is not set for renewing accounts. However, if a membership has been cancelled and then the account rejoins as a member, the Join Date is reset to the rejoin date and the expiration date will be set based on the membership period and the new join date.
Membership Account 
An account from Invoice Manager, that has a valid Membership Type set
Membership Cancelled Date 
This is the date that the account's membership was cancelled.
Membership Request Cancellation Date 
This is the date what the account has requested its membership should be cancelled.
Membership Types 
A membership type is a special case of an item. When purchased, the membership type is saved in the account record enabling membership features such as the subscription group. An account can only have one membership type at a time so purchasing another will change the account to the new membership type. If the membership type has a subscription type, a membership expiration and a subscription will be added to the account. If the subscription type is empty or perpetual, there will be no expiration date. This account subscription will be managed by the system to automatically renew the membership on the account's membership expiration date. In this case, the term of the new membership is determined by the membership type's subscription type, either periodic, calendar or perpetual.
On-Demand Payment 
This means the payment is required before services are fulfilled. on demand payments are credit card and e-check. An account with On-Demand payment method
Order 
represents a purchase in any stage of completion.
Paid Order 
A completed order that is paid
Payment Method 
Accounts are set to one of four possible payment methods, No-Payment, On-Demand, Bill and Fulfill Now (Credit), and Bill and Fulfill on Payment (Billing).
Pay Method Compatibility 
Some items are only compatible with some payment methods. Use it to manipulate the pay method used when purchasing this item. For instance, if an account is set to On-Demand and they purchase an item set as Allow Billing, then the invoice can be billed and fulfillment will occur when the item is paid.
  • Any Method - (default) When an item is set to Any Method, the Pay Method used will be from the Account.
  • On-Demand If Available - If all items in the invoice are set to this method and the account has an on-demand method (credit card or echeck), the invoice will be paid with that method. Otherwise, the account's method will be used.
  • On-Demand Required - If any item in the invoice is set to this method, the invoice must be paid with an on-demand method
  • Billing Allowed - If all items in the invoice are set to this method, the invoice can be billed even though the account may be set to on-demand
Payment Options 
Payment options are the choices available for payment to users of an account. An account may have two credit cards on file. If a user of the account came online to purchase, they could choose from either of these payment options.
Prebill Days 
(for recurring purchases and billing accounts only ) -- this is the number of days before the purchase date that the recurring purchase is to be invoiced.
Purchase Date 
For credit card purchases, this is just the date of the purchase. For billing, this is the date that the purchase should take place. For instance, for a service, this is the date the service will start. For a membership, this is when the membership starts. For online purchases, this is the date of purchase. For recurring purchases with no pre-bill period this is the invoice date.
Receipt 
The document generated from an order record, generally paid.
Subscription Item 
An item that adds account users into a subscription group. The details of the subscription are configured in the subscriptions tab of the item, like if it expires and it is renews.
Subscription Duration Days 
The number of full days (midnight to midnight EST) granted for a subscription.
Subscription Duration Months 
The number of months granted for a subscription, starting at the next midnight.
Subscription Renewal Notification 
An email sent to On-Demand accounts in advance of a subscription renewal. This notification is optional.
Subscriptions (a.k.a. Recurring Purchase) 
Subscription items purchased by an account. A list of subscriptions is maintained for each account. A subscription is added when a subscription item is purchased. If a subscription includes a group, it is used to verify all account users are put in the group. A subscription can also initiate a new customer charge if the subscription item is marked to renew on expiration. If a subscription is cancelled, the user will be removed from the group and any outstanding invoices for the subscription item will be cancelled when housekeeping runs.

Roles

Administrator 
The site user with administrator rights who configures and maintains the ecommerce system.
User 
Anyone with a record in the People table.
Customer 
The user who purchases online, creating an invoice, paying, etc.
Account Primary Contact 
The user selected as the contact for the account.
Account Customers 
Users with the account selected in the billing tab of their people record. These people can purchase online using the account.
Billing Contact 
The user selected in the Accounts Billing Contact. This user receives account notifications such as invoices and statements
Carbon Copy Contact 
(Optional) The user who receives a duplicate of all notifications.
Ecommerce Contacts 
Anyone added as either Account Primary Contact or Billing Contact is automatically added to a group with this name. If that group is deleted or renamed, a new group with this name will be created.
Ecommerce Payment Problem 
When a credit card fails, the account contacts are automatically added to a group with this name. If that group is deleted or renamed, a new group with this name will be created. When a credit card succeeds, the account contacts are removed from this group.
Ecommerce Credit Card Contacts 
All account contacts are added to this group if the account has a credit card. When a credit card succeeds, the account contacts are removed from this group. If that group is deleted or renamed, a new group with this name will be created.
Ecommerce Administrator Group 
In settings, you can select any group to be the ecommerce administrators group. People in this group receive notifications for the ecommerce system. If that group is deleted or renamed, a new group with the name "Ecommerce Administrators" will be created and selected.

How-To

These are typical procedures that help with general tasks.

How to Set Up a Payment Processor

On-Demand payments are processed directly to a payment processor with either a credit card or echeck. To setup which payment processor to use:

  1. Login and click ADMIN, TOOLS, INVOICE MANAGER, SETTINGS.
  2. Click on the ONLINE PAYMENTS tab.
  3. For STRIPE, select STRIPE PAYMENT PROCESSING from the SELECT PROCESSOR ADDON field drop down.
  4. For the other payment processors available (Verisign, Authorizenet, YourPay, My Virtual Merchant, Paypal), select the desired one from the LEGACY PAYMENT PROCESSOR MODE field.
  5. For the selected payment processor, click on the tab that corresponds with the processor name.
  6. In the STRIPE tab, you would check the TEST field if you are in test mode and enter the information received from Stripe for Test Secret Key, Test Publishable Key, Live Secret Key, and Live Publishable Key
  7. In the VERISIGN tab you will enter the server name, transaction type, tender type, verisign user name and password, vendor name and partner.
  8. In the AUTHORIZENET tab you will check or uncheck TEST MODE and enter the server name, user name, Authorizednet version, transaction type, check delimit request string, delimiting character, response URL, transaction key, echeck type.
  9. In the YOURPAY tab you will enter the server name, server port, key local fiel path, store key and type of transaction.
  10. In the MYVIRTUALMERCHANT tab you will enter the server name, check/uncheck test mode, enter type of transaction, merchant ID, merchant user ID and merchant pin.
  11. To enable PayPal, in the ONLINE PAYMENTS tab, you will check the box next to INCLUDE PAYPAL BUTTON and enter the PayPal Businees Name, post URL and currency code. You can also check the PayPal Test Mode box with the test URL and test business name.
  12. When you are done setting up the payment processor, click OK to save changes.


How to Add New Items

Items are products and services purchased.

  1. Login and click ADMIN, MANAGE ADD-ONS, ECOMMERCE, INVOICE MANAGER.
  2. Click the DATA tab at the top of the screen.
  3. Click on ITEMS.
  4. Click ADD at the top of the screen.
  5. Go through each tab to set the item up. Click for More Information on Managing Items
  6. To enable an email upon purchase of an item, compose the email in System Email and then in the item's PURCHASE tab, select the email from the "System Email Sent on Purchase" field. Click OK to save.
  7. To enable an email upon renewal of an item, compose the email in System Email and then in the item's SUBSCRIPTION tab, select the email from the "System Email Sent on Renew" field. Click OK to save.

How to setup Subscription Renewal Notifications

A subscription renewal notifications can be sent optionally to accounts before subscription items are renewed.

  1. Renewal notifications are sent to the billing contact of an accounts. Go to account details and verify the billing contact is selected and has a valid email address.
  2. Go to ecommerce settings, notifications tab and set the Subscription Renewal Notification Period to the number of days ahead of charging you want to notify the user. Leave blank to disable notifications
  3. Also in the Notifications tab, set the email body you would like to send. The following text will be replaced when the email is sent:
    • $item$ is replaced with the name of the subscription item
    • $name$ is replaced with the name of the billing contact
  4. Go to the subscription tab of the item and verify Send Renewal Notification is checked.
  5. The renewal notification is only sent once during the renewal phase, so verify the subscriptions Date of Last Renewal Notice is either blank, or set to a period prior to the current renewal cycle.

How to create a link directly to Subscriptions or Profile?

Create a link alias for the page that contains the My Account addon. In this example we will assume /MyAccount is the link alias you created, so the link to the my account addon page will be http://www.mySite.com/MyAccount .

http://www.mySite.com/MyAccount?profile will take the user to the profile form

http://www.mySite.com/MyAccount?subscriptions will take the user to the manage subscriptions form

http://www.mySite.com/MyAccount?payment will take the user to the payment form

http://www.mySite.com/MyAccount?history will take the user to the account history form

How to apply a credit memo

A credit memo is reversal of a charge and not a payment. Create an invoice when a service is rendered. Create a payment when the customer pays for an invoice. If the service was never rendered, you can cancel the invoice. But if the service was partially rendered and you need to return part of the invoice you have two options, either cancel the invoice and create a new invoice for the corrected service, or create a credit memo that reverses the undelivered portion of the invoice.

You apply the credit memo at the time the remainder of the invoice is paid. So if you create an invoice for $100 for services rendered, then only deliver $60 worth of the services, you can create a credit memo for $40. When the customer pays the $60, go to the Manual Payments tool, enter the payment of $60 and apply it to the $100 invoice and the $40 Credit memo.

How to set up Promotional Discounts

  1. Login and click ADMIN, TOOLS, INVOICE MANAGER.
  2. Click the DATA tab and then PROMOTIONAL DISCOUNTS.
  3. Click ADD to add a new one or click on an existing one to edit it.
  4. In the DETAILS tab enter the NAME of the discount, the CODE to enter to receive the discount
  5. In the DISCOUNT % tab enter the percentage discount that applies to items in an order.
  6. In the DISCOUNT VOUCHER tab enter the "Original Amount" which is the total amount of the voucher. Then as this amount is applied, the field for "Amount Spent" will be updated to reflect the value that has been spent from the Original Amount. Once the Amount Spent equals the Original Amount there is no further discount applied.
  7. If there is a Discount and Voucher entered for a Promotional Discount Code, the percent will be applied, then the voucher amount will be applied. On the invoice in the account, there will be an italicized descriptive line to detail the percentage or discount amount applied to that invoice.
  8. In the ITEMS tab, check APPLIES TO ALL ITEMS or check the specific items that get the discount.
  9. Click OK to save changes.

How to set up Sales Tax

To set up a sales tax for any state where it is required for a business:

  1. Login and click ADMIN, TOOLS, INVOICE MANAGER.
  2. Click the DATA tab and then STATES.
  3. Find the state you want to edit and click the paper/pencil icon next to it.
  4. In the SALES TAX PERCENTAGE field, enter the sales tax for the state (for a rate of 5% enter 5).
  5. Click OK to save changes.

How to add a new account

Login and go to ADMIN, MANAGE ADD-ONS, ECOMMERCE, INVOICE MANAGER. Click ADD at the top of the ACCOUNT LIST. Type in the ACCOUNT NAME and click OK.

Go to account list in INVOICE MANAGER. Find the new account and open it. In the ORGANIZATIONS tab add the organization associated with the account. Then in the DETAILS tab you will see a list of all people associated with the organization in the PRIMARY CONTACT and BILLING CONTACT fields. Select one in each field and also set up the CHARGE METHOD, BILLING TERMS and NOTIFICATION METHOD. Click SAVE.

How to set a credit limit

If an account's Charge Method is set to Bill and Fulfill Now, you must set up a credit limit in the Account. Enter the amount of credit in the Credit Limit field on the Account Details screen and click SAVE. Note: If the field has 0 or is blank then the account will have no credit available. The outstanding credit will be the credit limit minus any balance remaining on outstanding unpaid invoices.

Create Manual Invoice

To create a manual invoice, login and click on ADMIN, MANAGE ADD-ONS, ECOMMERECE, INVOICE MANAGER.
Next select the TOOLS tab and click on CREATE INVOICE.

Here you will select the account, give the invoice a title (for internal use only), choose payment type, what to do if the credit card fails, and set a shipping charge (optional).
You will also be able to include a custom message on the invoice when it is unpaid and after it is paid.
Finally you will select an item and quantity, or you can enter an item description and price for something not currently in the system.
Click CREATE INVOICE to generate the invoice.

Creating Manual Charges or Credits

Then select CREATE CREDIT MEMO, CREATE ACCOUNT CHARGE or CREATE MANUAL INVOICE. In each case you will select the account from the drop down menu. In each case you will enter the amount and all other information requested. Click the "CREATE" button at the bottom of the screen to create the desired charge or credit.

Here you can enter a custom message in the UNPAID INVOICE MESSAGE and PAID INVOICE MESSAGE fields. When you open the invoice, you will see the messages you created.

You can also use the TOOLS tab to process a batch of pending transactions by clicking on PROCESS BATCH.

How to Close Accounts

Click on the MANAGE ADD-ONS folder. Next click on the MEMBERSHIP MANAGER folder and then click on MEMBERSHIP MANAGER. From here you will click on the INVOICE MANAGER tab. You will see a list of all accounts or only open accounts if you check the OPEN ONLY box. To close any accounts, click the check box by the account name and click on CLOSE ACCOUNT from the menu.

Sending Manual Invoices or Statements.

If you need to send a manual invoice or statement, click on the MANAGE ADD-ONS folder. Next click on the MEMBERSHIP MANAGER folder and then click on MEMBERSHIP MANAGER. From here you will click on the INVOICE MANAGER tab. Next click on the NAME of the account and the PURCHASE HISTORY tab for that account. Click on the box next to any invoices you want to send and then click SEND INVOICES. If you want to send a statement, which shows all outstanding charges for the account, click the SEND STATEMENT button.

If you need to send statements to multiple accounts, click on ECOMMERCE and then INVOICE MANAGER. Place a check in the box next to all accounts you want to receive a statement. Next click SEND STATEMENTS.

How to change an account primary or billing contact.

Open invoice manager, locate the account in the list and click the edit icon. On the details tab are select lists for the account primary contact and the account billing contact. Choose someone from this list and click save.

These select lists include everyone in the users' tab for the account plus the person currently selected in the drop-down. That means if you select someone and later they are removed from the users' list, they will remain in the contact list until you select a replacement.

How to add someone to the account primary or billing contact.

Open invoice manager, locate the account in the list and click the edit icon. Go to the User's tab and verify the person has been added to the account. If they have not, click the add button and add them to the users list and click save.

On the details tab are select lists for the account primary contact and the account billing contact. Choose someone from this list and click save.

How to remove someone from an account.

There are four possible associations between a person and an account that should be verified.

  1. If they are the primary or billing contact, you must select someone else.
  2. If they are an individual member, you must remove them from the account on the account's User page.
  3. If they are a company member, you have to edit their people record and change (or remove) the organization.
  4. In rare cases, they may be configured to purchase online with the account. Change their billing account in their people record in the billing tab.

Open invoice manager, locate the account in the list and click the edit icon. If the person is the billing or primary contact, select a replacement and click save.

Go to the User's tab and locate the person. Click edit to open the person's People record. Verify their organization is set correctly (remove from the account's organization if necessary). On the Billing tab, verify the Account is selected correctly (remove from the account if necessary).

Click OK on the people record should return you to the invoice manager page. If not, go to invoice manager and select the account.

Go to the user's tab. If the person was an individual user (associated to the account as an individual not as a company employee), you can remove them by checking the box next to their name and clicking Remove Selected User.


How to Manage Your Account Profile in My Account

The Account Profile page stores your name, email, password, phone and photo. Click on the person icon to change any of those account fields. Click SAVE when you are done.

How to Manage Groups In My Account

You can manage various group types through My Account.

First set up Group Type

  1. Login and click ADMIN.
  2. Click MANAGE ADD-ONS, ECOMMERCE, GROUP TYPES.
  3. Click ADD to add a new group type or click the paper/pencil icon to edit a group type.
  4. In the DETAILS tab, enter a name for your group type, such as Committees.
  5. In the MY ACCOUNT tab, check INCLUDE IN MY ACCOUNT to allow people to join this group type in MY ACCOUNT.
  6. If there is an expiration time period for this group, set the EXPIRATION METHOD as Periodic (set the # of days or months) or Calendar (set a specific day and month each year).
  7. Click OK to save changes.

Next set up the Groups

  1. Login and click ADMIN.
  2. Click MANAGE USERS, GROUPS.
  3. Click ADD to add a new group or click the paper/pencil icon to edit a group.
  4. Enter the group NAME and CAPTION (such as Safety Committee) and select the GROUP TYPE if any.
  5. Check the box next to the field "Allow Public Join".
  6. Click OK to save changes.

Set up Notifications for Group Joins

  1. Login and click ADMIN.
  2. Click MANAGE EMAIL and SYSTEM EMAIL.
  3. Open the email named GROUP JOIN NOTIFICATION EMAIL.
  4. Go to the SEND TO GROUPS tab.
  5. Click on the name of the group you want to be notified every time someone joins a group through My Account.
  6. Click OK to save changes.


When a user clicks on MY ACCOUNT, they can click on the Manage Groups icons to join any group that is marked as "Allow Public Join". To join a specific group, they wll click on the check box next to that group and click SAVE. When anyone joins a new group, a notification email is sent to the group specified in the Group Join Notification email.

How to Manage Online Payments In My Account

Click the $ icon to get to this page. The Online Payments page shows current invoices outstanding. On this page you can choose to pay one or more invoices by selecting the invoices you wish to pay and then entering credit card information and clicking MAKE PAYMENT.

How to Manage Updating Payment Information in My Account

Click on the credit card icon to get to this page. The Update Payment Information page is where you can store and edit information about your payment methods, including credit cards and online checks (if enabled). Click ADD to add a new payment method, and click on a payment method to edit any information included about that payment type. Click SAVE when you are done adding or changing information.

How to Search Account History in My Account

Click on the clock icon to get to the Account History page, which shows information about all of your previous invoices and payments.

How to Manage Staff in My Account

Click on the people icon to manage staff if you are authorized to perform this function. You can add new users by clicking on ADD USER or edit existing users by selecting them and clicking UPDATE. After you add or edit users, click SAVE to store your changes. You can also delete users from your account by checking the box next to their name and clicking UPDATE. This action will also delete the user's People Record from the system.

How to Manage Organizations in My Account

Click on the organization icon to update organization information if you are authorized to perform this function. You can update the company name, address, phone number, web, email or annual revenue amount. You can also upload a new logo. After you add or edit information, click CLOSE to store your changes. NOTE: This section is only visible if the account has organizations associated with it.

How to Manage Certificates and Certifications in My Account

Click on the Certification icon to update CEU credits for a specific certificate or certification.
NOTE: In order for the Certifications/Certificate icon to appear under My Account, the box must be checked next to the field "Include Certifications" in the My Account tab of Ecommerce Settings.


How to Add New Certificates or Certification Types

  • Login and click on ADMIN, MANAGE ADD-ONS, ECOMMERCE.
  • If there is not yet an item set up for your certificate or certification, then follow instructions below; otherwise proceed to the next step in the process.
    • Click ITEMS and ADD.
    • Enter the ITEM NAME in the Name field.
    • In the Catalog tab make sure "Appears in Catalog" is NOT checked and Category is set to NONE.
    • In the GL field set the "General Ledger Post method to INCOME.
    • In the Pricing field set the price in the "Regular Price" field.
    • Click OK to save the item.
  • After you have an item set up, select either the Certificate Type or Certification Types table.
  • Click ADD to add a new record or click the paper/pencil icon to edit an existing record.
  • Add the Certificate or Certification Name, the Required CECs and the Item; for CERTIFICATIONS also enter # of years the certification is valid and Designation (suffix added to user name in SUFFIX field with this certification).
  • For certificates, upload a PDF of the certificate.
  • At this point all users will see the certificates that have been entered; certifications must be entered for each user as outlined in the next section.
  • Click OK to save changes.

How to Add New Certifications

  • Login and click on ADMIN, MANAGE ADD-ONS, ECOMMERCE.
  • Then select the Certifications table.
  • Click ADD to add a new record or click the paper/pencil icon to edit an existing record.
  • Add the Certification Name (just enter the first and last name of the user and you can also add the name of the certification type here).
  • Select the Certification Type, and add the Member ID (from the user record), Date Certified, Date Recertification is necessary and Paid Order ID (if they have already paid).
  • Click OK to save changes.

The Certificate/Certification Dashboard

  • The CEC Manager dashboard page shows a list of a specific user's certificates and certifications and their current status.
  • Certifications show:
    • Certification Name
    • Date Certified
    • Recertification Date
    • Required CECs
    • Actual CECs
  • A button to add CECs, and if all CECs are completed a button to Pay

Note: If CEC requirements are not met and/or payment is not completed by the recertification date, then the button will say CONTACT ADMIN and the certification will be flagged as suspended.

  • Certificates show:
    • Certificate Name
    • Required CECs
    • Actual CECs
  • A button to add CECs, and if all CECs are completed a button to PAY. Once payment is made the button will say Print Certificate.

NOTES:

  • The "Actual CEUs" column is calculated by the system.
  • The Certificate and Certifications list is linkable to the details about that certificate/certification

How to Add CECs

  • To add CEC credits, the user will click on the ADD CECs button next to current certificates or certifications or click on the certificate or certification name.
  • This takes the user to a screen where they can upload supporting documents and enter:
    • Event Name
    • Event Location
    • Event Sponsor
    • Event Date
    • Calculated CECs (round to nearest quarter hour)
  • Click FINISH when you are done or ADD ANOTHER to continue adding credits.

NOTE: Information entered on this screen will update the Actual CECs for the applicable certificate/certification; credits will be based on a 60-minute hour. This means that a 60 minute workshop will equal 1.00 CE credit and a 75-minute workshop will equal 1.25 CE credits, etc.

How to Find and Manage Suspended and Cancelled Certifications

  • To see any suspended certifications, login and click ADMIN, MANAGE ADD-ONS, ECOMMERCE, INVOICE MANAGER.
  • Click the Reports tab and then click Suspended Certifications Report
  • There is a list of all user names, certification types, recertification date and reason for suspension.
  • Here the admin can click APPROVE to remove the user from the Suspended Certifications Report and automatically update their recertification date or to click CANCELLED to cancel the certification.

System Emails Associated with Certificates and Certifications

Certificates
1. Certificate Approved Notification: When a user surpasses the number of CECs required and pays for the certificate this email is sent to the user and the certifying organization is notified.

Certifications
1. Certification Approved Notification: When a user surpasses the number of CECs required and pays for the certification this email is sent to the user and the certifying organization is notified.
2. Certification Suspended Notification: When the recertification date passes for a certification and the user has not met the number of CECs required and/or has not paid for the recertification this email is sent to the user and certifying organization.
3. Certification Cancelled Notification: When the certifying organization marks a suspended certification as cancelled this email is sent to the user and certifying organization.
4. Certification Upcoming Notification: When a certification has 6 months left until the recertification date this email is sent to the user and certifying organization.

How to Import Certifications From a CSV file

The CSV file must contain the following columns

  • 1. FirstName
  • 2. LastName
  • 3. Email
  • 4. Program
  • 5. RecertificationDeadline
  • 6. Designation


NOTE: If you are uploading certifications with a new certification type, you must first add the Certification Type to the Certification Types table. See section above "How to Add New Certificates or Certification Types" for instructions on adding new certifications.

Login and click ADMIN, TOOLS, WIZARDS, IMPORT WIZARD

  • 1. Select to upload a new file or use a file already uploaded and click CONTINUE
  • 2. Select the file in the next step and click CONTINUE
  • 3. Select ImportCertifications in the field "Import into an existing content table" and click CONTINUE
  • 4. On the "Create a New Mapping" window select the following fields in the IMPORTED FIELD next to the matching DATABASE FIELD and click CONTINUE:
  1-FirstName
  2-LastName
  3-Email
  4-Program
  5-RecertificationDeadline
  6-Designation
  7-dateCertified
  • 5. In the "Update Control" window select the button "Insert all imported data, regardless of key field" and click CONTINUE
  • 6. On the "Finish" screen, enter your email address and click FINISH.

Once the CSV file is uploaded into the ImportCertifications table

  • 1. Go to Manage Add-ons, Ecommerce and select the Import Certification table
  • 2. Verify all fields are populated.

Go to Tools, and select the Certification Import Tool, then click IMPORT

When complete the words your import is complete will display

Open certification type table, verify the new certification type is entered

Open the certifications table, verify the new certifications are entered

Open the people table, Verify the people are entered with the new designation

How to Merge Duplicate Accounts

  • Login and click ADMIN, MANAGE ADD-ONS, ECOMMERCE, INVOICE MANAGER.
  • Click on the TOOLS tab and then ACCOUNT MERGE.
  • Select the SOURCE ACCOUNT (the duplicate account).
  • Select the DESTINATION ACCOUNT (the account you want to keep).
  • Click MERGE.
  • Manually verify that the destination account has membership correctly configured by editing the account record and verifying Membership Type, Membership Status, Expiration, Join and Anniversary.
  • Manually close the source account.

NOTE: This tool merges members and accounting transactions from the source account to the destination account. Account information like contacts, membership details, etc. are not changed. When complete, the membership settings should be reviewed manually and the source account should be closed.

How to Set Up Membership Dependencies

These instructions are for accounts, your organization will bill one account, but will have multiple organizations in that account. There will also be accounts for each of these organizations, which will not be billed and whose membership is dependent on the master account.

Add Organizations to the Master Account

  1. Login and click ADMIN.
  2. Click on TOOLS, INVOICE MANAGER.
  3. Select the master account (such as Daseke Inc.) and click on the name to open the account.
  4. Click on the ORGANIZATIONS tab in that account.
  5. Click the ADD button and then select the organization you want to add to the current account.
  6. Click ADD again to complete the process.

Keep Accounts for each dependent organization with a membership expiration date far in the future

  1. Login and click ADMIN.
  2. Click on TOOLS, INVOICE MANAGER.
  3. Click on the DATA tab and then select ACCOUNTS.
  4. Find a dependent account and open the record by clicking on the paper/pencil icon next to it.
  5. Click on the MEMBERSHIP tab.
  6. In the MEMBERSHIP DEPENDENCY field, select the name of the master account (such as Daseke Inc.).
  7. Delete the Expiration Date.
  8. Click OK to save changes.
  9. Click on TOOLS, MEMBERSHIP MANAGER.
  10. On the ACCOUNT LIST, find the account you just edited and click on the name.
  11. Click on the SUBSCRIPTIONS tab, and make sure the subscription is for the correct membership and that it does not expire.
  12. Click OK to save changes.
  13. If there are any division memberships in the account click the checkbox next to them and click DELETE SUBSCRIPTION. Put the division membership subscriptions in the master Daseke account.

Adding New Organizations and Setting them up as Part of a Master Account

  1. Login and click MANAGE USERS, ORGANIZATIONS.
  2. Click ADD and enter all organization information; click OK to save the new organization.
  3. Follow instructions above for adding the organization to the master account.


NOTE: If you need to add a new organization, you will click on MANAGER USERS, ORGANIZATIONS and then click ADD. After filling out all information for the organization, click OK. Next time you go to the master account, this organization will show up in the organization drop down menu. Do not select anything in the PARENT ORGANIZATION field in the organization record; the dependency is set in the account record.

Adding a New Placeholder Account for the New Organization

  1. Login and click ADMIN, TOOLS, INVOICE MANAGER.
  2. Click ADD.
  3. In the DETAILS tab, enter the account name.
  4. In the MEMBERSHIP tab, select the MEMBERSHIP TYPE and the MEMBERSHIP DEPENDENCY (the master account).
  5. Enter the Join Date.
  6. Click OK to save the new account.
  7. From the Invoice Manager Account List, open the new account.
  8. Click on the Organizations tab.
  9. Click the ADD button and then select the organization you want to add to the current account.
  10. Click ADD again to complete the process.

Removing an Organization from the Master Account

  1. Login and click ADMIN, TOOLS, INVOICE MANAGER.
  2. Find the master account in the ACCOUNT LIST and click on the name.
  3. Click on the ORGANIZATIONS tab.
  4. Click on the checkbox next to the organization you want to remove and click on REMOVE FROM ACCOUNT.
  5. Next click on the ACCOUNTS tab at the top of the page.
  6. Find the placeholder account for that organization and click on the checkbox next to the account name.
  7. Click on the CLOSE ACCOUNT button


NOTE: If you need to add a new organization, you will click on MANAGER USERS, ORGANIZATIONS and then click ADD. After filling out all information for the organization, click OK. Next time you go to the master account, this organization will show up in the organization drop down menu.


NOTE: Setting up membership dependencies will enable automatic cancellation of any accounts set to be dependent on another account if the account selected in the MEMBERSHIP DEPENDENCY field is cancelled.

How to Manage the Rejoin Process

If a membership account is cancelled and the company decides to rejoin at a later date, the Join Date will be reset to the date of the rejoin. The expiration date will be set to the time period specified in the membership starting with the rejoin date.


How to Add a Gift Card to an Account

To add a gift card to an account open to "Account Manager" and click on the account where you want to add the gift card.

  1. At the bottom where "payment choices" are click "add" link.
  2. This will open the "Account Autopay Options" click on the tab for "Gift Card".
  3. This will open the fields for Gift card. Enter a "Redeem Code". This will be assigned to the account so the user doesn't have to know it. It should not be something that can easily be guessed such as a random series of numbers
  4. If you want the "card" to expire enter the date or leave it blank if it never expires.
  5. Enter the current balance you want for the gift card. The amount spent will update as the card is used. The account user can use the "gift card" for payment up until the amount spent is equal to the original balance.

The account user can select the radio for "Select Saved Gift Card" in the payment portion and then choose the option(s) of cards available to them just as they would a saved Credit card. When submitting the gift card as payment it will update the "amount spent" field. If the balance is less than the card amount it will apply the remaining balance and the user must then select another payment method to complete the transaction.

References

Pay Method Compatibility

The chart below shows how an account will be charged based on the Pay Method Compatibility set in the items being purchased and the Pay Method set for the account making the purchase.

For example, if an account is set to require on-demand payment, but all items being purchased by the account are set to allow billing, then the account can be billed for those items.

On the other hand, if an account is set to allow billing, but even one item being purchased by the account on a specific invoice is set to Require On-Demand, then that invoice will have to be paid on-demand at the time of purchase and cannot be billed for later payment.

Pay Method Compatibility Chart.png

Purchase Process

Join Date 
The date when a membership or subscription first becomes effective. It is the first full date following the purchase. If the purchase takes place at 5pm on the 14th, the subscription starts at payment, but the join date becomes the next full date, the 15th.
Bill Date 
The date the invoice is created.
Effective Purchase Date 
The date when the purchase should take place. For example, if you buy a monthly subscription that starts on the 15th of the month, that means the join date was the 15th. The expiration date will be the 14th of the next month and the effective purchase date for the renewal is the 15th.
Invoice Date 
When the invoice is sent. For subscriptions this is the effective Purchase Date minus the prebill period. If Prebill days is 1, the invoice is sent one day before the effective purchase date.
Expiration Date 
The last day of the subscription period.
Invoice Due Date 
The day invoice payment is requested. For subscriptions, this is the effective purchase date plus the account terms.

Settings

To specify settings for the Invoice Manager, log in and go to ADMIN. Click on ECOMMERCE, INVOICE MANAGER and then click on the SETTINGS tab. Here you specify days allowed to pay invoices, days in advance to pre-bill certain accounts, setup for faxed invoices and information about who receives notification at your organization about any ecommerce transactions.

Setting up a Test Credit Card

Log in and go to ADMIN. Click on ECOMMERCE, INVOICE MANAGER and then click on the SETTINGS tab. Go to the TESTING tab and enter a number in the Test Credit Card Number field; click OK to save changes. This number will enable you to complete online purchases without going through the payment processor. When making a test purchase on the website, you will enter this number in the credit card number field and then choose anything for credit card type, CVV and card holder name; also make sure you enter a future date in the expiration date field.

Notifications

Email notifications can be sent for several purposes

To receive a copy of every receipt (paid order), add your user record to the group selected in the notification tab in Settings called "Paid Order Notification Group"

Placed Order Notification

To receive a copy of every order as it is placed, add your user record to the group selected in the notification tab in Settings called "Placed Order Notification Group"

Denied Payment Notification

Denied payment notices are sent to customers when their On Demand payment method fails during a batch process. In the Notifications tab of Settings, you can customize the text in emails sent for denied payments and late notices.

Late Notice Notification

Late notice notifications are sent when Invoices (unpaid orders) go beyond the Payment Due date. In the Notifications tab of Settings, you can customize the text in emails sent for denied payments and late notices.

Fulfillment Notification

Fulfillment notifications are sent when a purchase is ready to send, and would typically be sent to the individual responsible for sending the items purchased. Each item includes in its fulfillment tab a checkbox to enable fulfillment notification and a group to be used for the email. To receive fulfillment notification, set an item to a fulfillment group, enable the items fulfillment notification, and add yourself to the group.

Billing Fulfillment Notification

In addition to the Fulfillment notification, you can also have a notification sent to the ecommerce Administrators when an order is ready to fulfill. To receive the billing fulfillment notification, enter a custom message in the Fulfillment tab of each item.

Pay Methods

Pay Methods are four basic ways to process charges. Accounts are configured to use one of these methods, based on your credit with them. The default is Pay on Demand.

  • No Payment Necessary - All orders will be automatically paid as $0
  • Pay on Demand - A payment is needed at the time of the purchase. For online purchases, an Pay-on-Demand account will receive a credit card or online check form. For batch purchases, a credit card or echeck must be saved in the account.
  • Bill and fulfill on payment - Send a bill to the account. Fulfill (ship) the order when payment received
  • Bill and fulfill now - Send a bill but ship the order now

Pay Options

Pay Options are the choices offered to customers online, and are created by the administrator. Each Pay Option includes a Pay Method which describes how the payment will be processed if selected. Online customers will only see the options that apply to them, based on their account settings.

  • Pay Option set to No Payment - only available if account is set to no payment. if your account is set to No Payment, then all invoices are processed without payment and fulfillment is applied appropriately.
  • Pay Option set to Pay on demand - available to everyone. If the account is setup Pay On Demand, then you must submit a payment at the time the order to be completed.
  • Pay Option set to Bill and fulfill on payment - If the account is set to Bill and Fulfill on payment, then when you complete your order, an invoice is generated and sent to the billing contact. When payment is made, the fulfillment process is triggered and your order is shipped (or fulfilled appropriately)
  • Pay Option set to Bill and fulfill now - If the account is set to Bill and Fulfill now, then when you complete your order, an invoice is generated and sent to the billing contact and the fulfillment process is triggered to ship your order.

On-Demand Payments

On-Demand payments are processed directly to a payment processor with either a credit card or echeck.

Supported Payment Processors

Authorizenet 
We implement Payment Transactions (formerly AIM). To setup Authorizenet you must first have an authorizenet account. The follow the following steps.
  1. Select AuthorizeNet in the Online Payments Tab of Ecommerce Settings
  2. Go to the AuthorizeNet tab and set the server (typically https://secure.authorize.net/gateway/transact.dll)
  3. set Login ID : From the AuthorizeNet Settings page. The username for your account, typically a cryptic alphanumeric string around 10 characters long.
  4. set Transaction Key : From the AuthorizeNet Settings page. A key unique to each AuthorizeNet Store, typically a cryptic alphanumeric string around 16 characters long.
  5. The following defaults are preset:
    • x_version=3.1
    • x_relay_response=False
    • x_delim_data=True
    • x_delim_char=,
Your Pay 
See http://www.yourpay.com. Set the Ecommerce Settings page, Online Payments tab to 'Your Pay', then fill out the specific settings in the respective settings tab.
My Virtual Merchant 
See http://www.myvirtualMerchant.com. Set the Ecommerce Settings page, Online Payments tab to 'My Virtual Merchant', then fill out the specific settings in the respective settings tab.
Sage Payment Services 
See http://www.sage.com. Set the Ecommerce Settings page, Online Payments tab to 'Sage', then fill out the specific settings in the respective settings tab.
PayPal Buy Now Online Payments 
Using PayPal Buy Now buttons, when a user pays they are taken to the PayPal site to make payments directly to your PayPal account. The PayPal servers then notify your website and the charges are marked as paid. To setup PayPal Buy Now, follow these steps:
  1. In Ecommerce Settings, Go to the online payments tab and enable PayPal Buttons
  2. Enter your PayPal business name
Manual 
Accept online credit card transaction and process manually
Verisign 
This is a legacy system and is beign deprecated


Credit Card Payments

Echeck Payments (ACH)

Echecks are treated as an On Demand payment, just like credit cards. If you have EChecks configured, the online payment form will automatically include an option to pay by credit card or online check.

An account configured for On-Demand payments can be configured to pay by Echeck as well as credit card for manual invoices or recurring purchases.

To configure online check payment:

  • Go to the Invoice Manager
  • Click settings in the menu to see the settings page
  • Click the Online Payments tab to open the online payment options
  • You must select a processor that supports online checks, currently that is only Authorizenet
  • Check the Allow EChecks checkbox
  • Click OK to Save

Purchase Process Settings

The purchase process involves adding items to an order, completing and order to create an invoice, paying an invoice to create a receipt, and fulfilling an order.

The terms used to describe these are defined in the terms section and an example follows

Example: recurring annual membership, expires January 31
prebill set to 30 days
days to pay set to 10 days
Purchase Date = February 1
Invoice Date = January 2 (30 days before the purchase date)
Date Due = February 11 (10 days after the Purchase Date)

Invoice Settings

The system creates invoices based on Invoice Templates, editable through the Data tab in Invoice Manager. You can have as many invoice templates as you need, and each account can be assigned to either the default invoice, or a custom invoice.

NOTE: When you first install Invoice Manager on a site, you must create an invoice and view it in order to generate the default invoice template.

Invoice Email Subject 
For manual invoices, this is the Invoice Title. For invoices sent from recurring purchases and online purchases, the subject line is either "Invoice #1234" or "Receipt for paid Invoice #1234", where 1234 represents the invoice number.

When invoices are generated, special words in the invoice template are replaced with their respective values. They are as follows:

$rootUrl$ 
The url to the domain that generated the invoice (no trailing slash). For background processes it returns https:// plus the first domain in the domain list. ex. https://www.contensive.com
$invoiceNumber$ 
The order number
$invoiceGuid$ 
The guid for the order
$invoiceDate$ 
The date of the actual purchase
$accountNumber$ 
The internal account number used for Invoice Manager. This is the column ID on the Account List
$legacyAccountNumber$ 
If value populated in the Legacy Account Number field for each account record
$invoiceTax$ 
The tax charge on the order
$invoiceShipping$ 
The shipping charge on the order
$invoiceShippingType$ 
The shipping type selected during ordering
$itemTotalAmount$ 
to total due for this order
$billName$ 
the billing contact of the invoice's account. The account billing contact is the information in the billing tab of the person selected as the billing contact for the account. If the billing contact is not included, alternatives are used in the following order: account billing person's main address, account primary contact's billing information, account primary contact's main address
$billEmail$ 
the billing contact of the invoice's account
$billFax$ 
the billing contact of the invoice's account
$billCompany$ 
the billing contact of the invoice's account
$billAddress1$ 
the billing contact of the invoice's account
$billAddress2$ 
the billing contact of the invoice's account
$billCityStateZip$ 
the billing contact of the invoice's account, Bill City, State and Zip fields
$billFullAddress$ 
the billing contact of the invoice's account
$billOrgName$ 
the name of the organization set in the account's billing contact
$billOrgAddress1$ 
the address line 1 of the organization set in the account's billing contact
$billOrgAddress2$ 
the address line 2 of the organization set in the account's billing contact
$billOrgCity$ 
the city of the organization set in the account's billing contact
$billOrgState$ 
the state of the organization set in the account's billing contact
$billOrgCountry$ 
the country of the organization set in the account's billing contact
$billOrgZip$ 
the zip of the organization set in the account's billing contact
$contactName$ 
the primary contact of the invoice's account. The account primary contact is the information in the main tab of the person selected as the primary contact for the account. If the primary contact is not included, alternatives are used in the following order: account primary person's main address, account billing contact's main information, account billing contact's billing address
$contactEmail$" 
the primary contact of the invoice's account
$contactFax$" 
the primary contact of the invoice's account
$contactCompany$ 
the primary contact of the invoice's account
$contactAddress1$ 
the primary contact of the invoice's account
$contactAddress2$ 
the primary contact of the invoice's account
$contactCityStateZip$ 
the primary contact of the invoice's account
$contactFullAddress$ 
the primary contact of the invoice's account
$contactOrgName$ 
the name of the organization set in the account's primary contact
$contactOrgAddress1$ 
the address line 1 of the organization set in the account's primary contact
$contactOrgAddress2$ 
the address line 2 of the organization set in the account's primary contact
$contactOrgCity$ 
the city of the organization set in the account's primary contact
$contactOrgState$ 
the state of the organization set in the account's primary contact
$contactOrgCountry$ 
the country of the organization set in the account's primary contact
$contactOrgZip$ 
the zip of the organization set in the account's primary contact
$shipName$ 
The shipping contact stored in the invoice record. The ship address should be populated during the order process from the customer's shipping address. The customer in this case is the person filling out the form. If not available the account primary's shipping address populates the invoice.
$shipFirstName$ 
The shipping contact's first name stored in the invoice record that is populated during the order process from the customer's shipping address.
$shipLastName$ 
The shipping contact's last name stored in the invoice record that is populated during the order process from the customer's shipping address.
$shipEmail$" 
the invoice's shipping information
$shipFax$" 
the invoice's shipping information
$shipCompany$ 
the invoice's shipping information
$shipAddress1$ 
the invoice's shipping information
$shipAddress2$ 
the invoice's shipping information
$shipCityStateZip$ 
the invoice's shipping information
$shipFullAddress$ 
the invoice's shipping information
$accountBalanceBeforeInvoice$ 
The balance on the account before the order was completed. This amount only reflects the balance at the time of the invoice and should ONLY be used if the invoice will be send only once. As the account is padi, this amount is NOT updated.

$accountBalanceAfterInvoice$ : Similar to accountBalanceBeforeInvoice

$amountDue$ 
the balance to be paid on the invoice. If the invoice is paid, this amount is $0.00
$paymentComment1$ 
The first payment comment sent to the payment processor with the order
$paymentComment2$ 
The second payment comment sent to the payment processor with the order
$terms$ 
the account terms.
$paymentDetail$" 
This reflects the payment status of the invoice, like Paid.
$dueDate$ 
the due date for the invoice, calculated based on the account terms.
$invoiceTotal$ 
The total for this invoice

The display of each line item of the invoice depends on the following

  • The quantity and item description
  • If the invoice is a manual invoice, the description can be manually entered
  • If the item has no charge, it may be configured to hide the invoice line
  • if the item is part of a bundled set of items, the bundled items may be hidden with a setting on the bundling item
  • if the line is created with a recurring purchase, it includes the period of time covered by the recurring purchase.

General Ledger Transaction Exporting

The system maintains a General Ledger account list and General Ledger Transaction table solely for the purpose of exporting transactions.

General Ledger Accounts 
General ledger Accounts are a simple list of Account Names and Numbers setup in the system that should match those in the receiving system. After setting-up General Ledger Accounts, go to Ecommerce Settings, to the GL tab and verify each of the hard-coded GL Accounts are set as needed.
General Ledger Transactions 
General Ledger transactions are created each time an accounting event occurs, like a purchase or a payment. The details of the transaction depend on the General Ledger Post Method set for the invoice.
General Ledger Posting Methods 
Items include settings that dictate how invoices that include them will be posted. If an invoice contains any items with non-Normal posting methods, the entire invoice becomes Cash-Basis. Any items in teh order set as normal will be posted cash-basis. Items other than normal will be posted as they are selected. Shipping and Tax will be posted Cash-Basis.

House Account Orders

All items within a house account invoice have no charge, and the entire invoice is treated as a cash sale with no defering income, regardless of the post method set on any items.

  • CREDIT: item's income GL account
  • DEBIT: Misc Adjustments GL account

Posting Method: Normal

  • Charge (invoice)
    • CREDIT: item's income GL account
    • DEBIT: Accounts Receivable GL account
  • Payment
    • CREDIT: Accounts Receivable GL account
    • DEBIT: Cash or Deposit GL account
  • Credit Memo
    • CREDIT: Accounts Receivable GL account
    • DEBIT: Misc Adjustments GL account
  • Cash purchases - when a normal item is charged and paid at the same time.
    • CREDIT: item's income GL account
    • DEBIT: Cash or Deposit GL account
  • Deposit - when a payment is received and not applied to a charge.
    • CREDIT: deposit GL account
    • DEBIT: Cash GL account

Posting Method: Proforma

Proforma orders do not post GL entries until they are paid.

  • Charge (invoice)
    • no GL entries posted
  • Payment
    • CREDIT: item's income GL account
    • DEBIT: Cash or Deposit GL account

Posting Method: Proforma - Defer to Date

Proforma - Defer date orders do not post GL entries until they are paid. On the payment date, the income is posted to a defer account. Then on a specific date, the defer account is posted back to the item's income account. This can be used to defer the income for a meeting until the meeting month or date.

  • Charge (invoice)
    • no GL entries posted
  • Payment
    • CREDIT: item's Defer GL account
    • DEBIT: Cash or Deposit GL account
  • On the Defer Date
    • CREDIT: item's Income GL account
    • DEBIT: item's Defer GL account

Posting Method: Proforma - Defer Over Term

Proforma - Defer Term orders do not post GL entries until they are paid. On the payment date, the income is posted to a defer account and a specified number of gl entries are made to future dates that recognize the item's income over a period of months. Each month more and more of the item's income will be recognized as the gl entries come due. For instance, annual dues can be set to a 12 month defer term, resulting in 1/12 of the dues being recognized each month.

If the purchase is a new purchase, the series of deferred income transactions starts on the purchase date. If the purchase is not a renewal (non-recurring purchase) then the series of deferred transactions starts on the payment date.

  • Charge (invoice)
    • no GL entries posted
  • Payment
    • CREDIT: item's Defer GL account
    • DEBIT: Cash or Deposit GL account
  • Each month for x months
    • CREDIT: item's income GL account for total/x
    • DEBIT: item's Defer GL account for total/x

Exporting a Download File

General Ledger Transactions may be converted to download files to be exported.

From Admin Home, user may go to Manage Add-Ons>>Ecommerce>>Invoice Manager

On the Account List page, go to Settings>>General Ledger

  • Enable the Automatic Export field. When box checked, Ecommerce Export will run automatically to create download files.

With Automatic Export enabled,

  • Select the Automatic Export Format from the drop down menu.
  • Click OK to Save changes.

To view download files, go to Data>>Ecommerce Exports

  • Edit export record and click on Export.csv file for review.
  • If Automatic Export is not selected, you can run the report from Invoice Manager by clicking on TOOLS, EXPORT G/L TRANSACTIONS.

NOTE: The export will include all data before the current month that has not yet been exported. Each month is exported in a separate file.

Reports

To get reports from the Invoice Manager, log in and go to ADMIN. Click on ECOMMERCE, INVOICE MANAGER and then click on the REPORTS tab. Here you can get reports on account purchase history, account invoice aging and daily ecommerce activity. You can also manage the print queue here.

Purchase History Report

This report shows all charges on the accounts. It includes invoice date, paid date, account name, invoice #, invoice description and amount charged. You can sort the report by any of the columns, except description, and can filter for unpaid only or any of the sortable fields.

Invoice Aging

This report groups invoices by the overdue periods: current, past due, over 30, over 60 and over 90.

Daily Activity

Shows charges, house payments, check payments, auto payments and declined payments over the last 30 days.

Print Queue

The print queue lists documents waiting to be printed. After printing, user your back arrow to return to the print queue. This report is in the PRINT QUEUE tab in Invoice Manager.

Top Buyers

Lists clients with the highest item totals. The report can be filtered for a specific category and/or date range.

Top Category Buyers

Lists top buyers in each item category. Can be filtered by date range.

Item Purchase

For each item available for sale, this report lists the number paid for, the number given away for free the total count and the total sales amount. It can be filtered by date range.

Item Category Purchase

This report shows purchases sorted by category. It includes account, item and amount for each purchase. The report can be filtered to look at only a certain category, account and/or date range.

General Ledger Account Summary

The total of all transactions by General Ledger Account during the selected period. This reports breaks transactions down into four categories: Proforma Paid Charges, Cash Paid Charges, non-Proforma Charges, and non-Proforma Payments. Proforma Paid Charges are charges from invoices marked with General Ledger Post Methods: Proforma, Proforma - Defer Date, and Proforma - Defer Term. These are reported only when paid. Cash Paid Charges are non-Proforma Charges that were charged and paid on the same calendar day. Non-Proforma Charges are invoices not marked Proforma. Non-Proforma Payments are payments made during the period on invoices not marked Proforma.

Managing Accounts

To manage accounts, log in and go to ADMIN. Click on Tools >> Invoice Manager.

Account List Screen

You will see a list of all accounts, or only open accounts if you click the check box. From this screen you have the option to ADD an account, CLOSE an account or SEND STATEMENTS to accounts by selecting them with a check mark.

Click on any account to see the Account Detail screen.

If you want to see the balance column on the accounts list page, make sure the following is set correctly:

Go to SETTINGS tab, INVOICE MANAGER tab,and check the second box that says "Include account balance in account list"

Account Detail Screen

To edit information in a specific account or to get more detailed information about that account, click on the account name to open the record for that account.

Account Contacts

Account contacts must come from one of the following:

  • anyone with the account set in the billing tab of their people record.
  • anyone associated to the account in Membership Manager People tab
  • anyone with an organization set in their people record that is associated to the account with Membership Manager
  • anyone set to an organization associated to the accountThe three contact types available in INVOICE MANAGER are:

Account Contact Types

The three contact types available in INVOICE MANAGER are:

  • Primary Contact: Receives a copy of account invoices if there is no billing contact specified.
  • Billing Contact: Receives a copy of all invoices sent to the account. (Invoices for free items are not sent to the account.)
  • Carbon Copy (CC) Billing Contact: Receives a duplicate copy of all invoices sent to the account.

On Demand Payment Types

  • On Demand payment methods are used to pay invoices generated by the system.
  • If the account is configured as an On-Demand account, all invoices must be paid when the invoice is created.
  • When an invoice is paid On-Demand, the primary method is attempted first, then the secondary, then each of the others entered until one succeeds.

Purchase History Tab

In the PURCHASE HISTORY tab you can also send any outstanding invoices or statements. Check the STATUS column to see what is paid and what is outstanding. The invoices not yet paid are listed as PAY in blue (and will say LATE PAY after 30 days); the paid invoices are listed as PAID with the pay date.

Subscriptions Tab

In the SUBSCRIPTIONS tab you can ADD, DELETE, EDIT or CANCEL subscriptions (aka recurring purchases).

  • To ADD a subscription, choose an account from INVOICE MANAGER and click on the SUBSCRIPTIONS tab. Click ADD. Choose the ITEM for the subscription you want to add to the account. From here go to the STATUS tab to enter the Date to Begin Charging and the Date Charged Through. The Date Charged Through is the field used to generate the next invoice, which will begin charging the day after the charged through date. Click OK to save changes.
  • To EDIT a subscription, click on the NAME in the SUBSCRIPTIONS tab. From here go to the STATUS tab to change the Date to Begin or Stop Charging, the Requested Cancel Date or the Date Charged Through. The Date Charged Through is the field used to generate the next invoice, which will begin charging the day after the charged through date. If you delete a subscription from the admin edit page, the appropriate account updates may take 24 hours to appear. Click OK to save changes.
  • To cancel or delete a subscription, check the box in the appropriate row and use the Cancel Subscription button or Delete Subscription button. When a subscription is cancelled, the user is removed from the subscription group and any outstanding invoices with the subscription item will be cancelled.

Messages Tab

The messages tab includes recent activity. Individual messages can be highlighted. Some automatic messages are highlighted as well, like when an account needs attention because of a declined on-demand purchase.

Transactions Tab

Click on the TRANSACTIONS tab to see a list of account activities. The Approved column in the transactions list is true if the transaction was approved (not whether or not the invoice was paid).

SETTING UP MULTIPLE BILLING CONTACTS FOR A SPECIFIC ITEM CATEGORY

To send invoices to multiple people in an organization for a specific item category, create an ACCOUNT CONTACT record by logging in and clicking on ADMIN, MANAGE ADD-ONS, ECOMMERCE and then ACCOUNT CONTACTS. Next click ADD. You will select the ACCOUNT and MEMBER that you want this record to apply to. For a User to show up in this drop down, their User Record must be set to MEMBER in the CONTROLLING CONTENT field in the CONTROL INFO tab.

Next, click on the CATEGORIES tab to select the category that applies. Click OK to save the new record.

NOTE ABOUT ITEM CATEGORIES: To add new categories, login and click on ADMIN, MANAGE ADD-ONS, ECCOMERCE, INVOICE MANAGER, DATA, AND THEN ITEM CATEGORIES. Click ADD and then type in the name of the new category. Click OK to save changes. Next click on ITEMS and open a specific item; choose the CATEGORY from the drop down list. Click OK to save changes to the item.

Organizations and Users

Users associated with accounts through the account manager screen are included in account subscriptions. A user can be associated directly to the account from the User tab, or their organization can be associated to the account through the organization tab.

For a user to be associated to an organization, the organization field in their people record must be set to the organization.

Organizations Tab

Add organizations to this account. Employees of this organization will be granted access to subscriptions from this account

User Tab

This is a list of employees of the organizations listed in the Organization Tab, and any individual members added in this tab

How to add users to an account

You can add company members or individual members

  • Add them as an employee of the organization -- Edit their people record and select an Organization that is part of the account.
  • Add them an an individual member -- Edit their people record to determine their "record id" at the top. Go the Invoice Manager and go to the account's User Tab. Click [add] and enter the person's Id.

Managing Items and Item Categories

Items are what is purchased, and item categories are a way to group and report on items.

The following features are configurable within items

Bundling

Use the Bundling tab to add bundled items to an item. An item that contains bundled items is a bundling item. If charged bundled items is unchecked, bundled items are not charged to the invoice. If charged bundled items is checked, bundled items are charged to the invoice. If show bundled items on invoice is unchecked, they will not be displayed on the invoice. If show bundled items on invoice is checked, they will display on the invoice.
If a subscription or membership includes bundled subscriptions, the bundled subscriptions are NOT included in future renewals of the subscription or membership. In other words, when the subscription expires, if renew on expiration is set, the bundling item is charged with all bundling items, buth without any bundled subscriptions.

For example, You might setup a bundling item that is a monthly membership for $50 and bundle in it a processing fee and a monthly newsletter subscription. The initial invoice will be for $50 and the account will be setup for the membership, it will get a subscription for the newsletter and the processing fee will be charged. One month later, the account will be charged $50 for the membership renewal and the processing fee. The items bundled with the membership (the book and the magazine) will NOT be included in the subscription renewal. A year later the magazine will charge as well.

  • Show Bundled Items
  • Bundled Items

Options

options are a series of option sets, each with a name and the possible values a customer must choose for that name. The name is separated from the values with a colon. The values are separated by commas. Options are separated by a new line. For instance, an item with a two line options field may have in the first line -- "color: red, blue, yellow" and the second line "size: small, medium, large". Customers purchasing this item will be required to select both a size and a color from the choices. If you want a text field for the option choice, instead of a dropdown, you would just enter the category with a colon, such as "size:". Customers would then see Size followed by a blank box where they can enter their size choice.

Item Category

Categories are used by the catalog for display and by ecommerce reporting to group charges.

Subscriptions

A subscription is a way to track items purchased that automatically renew, and/or items that put account users in groups. An item creates a subscription if the subscription type in the subscriptions tab is set to Periodic, Calendar, or Perpetual.

These are some examples of subscriptions:

  1. A monthly charge that allows user access to a podcast -- Create an item 'monthly subscriber', set subscription type to periodic and the period to 1 month. Select a group into which users will be added, and check renew on expiration. Put your podcasts on a page protected by the selected subscription group.
  2. An annual newsletter purchased one-time -- Set the subscription type to periodic and do not check renew. Select a group for users. Then each month, send a Group Email to the selected group.

Subscription Settings

  • Subscription Type - If blank, this item is not a subscription. Select Calendar to have the subscription expire on a specific month. Select Periodic to have the subscription expire after a set number of days or months. Select perpetual if the subscription never expires.
  • Group - When this item is purchased, all users in the account will be added to this group.
  • Group Expiration Period (Days) - For Periodic Subscriptions, the days until the subscription expires. (can be used in combination with Months)
  • Group Expiration Period (Months) - For Periodic Subscriptions, the months until the subscription expires. (can be used in combination with Months)
  • Calendar Duration Month - For Calendar Subscriptions, the month that this subscription expires.
  • Renew on Expiration - If checked, the account will be charged for renewal when the subscription expires. For On-Demand (credit card and echeck) accounts, the charge runs a day before expiration. On billing accounts the invoice is sent based on the prebill setting in the Ecommerce Settings.
  • Block Duplicate Recurring Purchases - If checked, an account can only have this subscription once.
  • recurringPrice - If not blank, this price will be used for renewals.
  • inMyAccount - if checked, subscriptions to this item can be canceled from the My Accounts section.

Pricing

  • Unit Price
  • Sale Price
  • Special Price
  • On Sale

Promotional Discounts

Misc

  • Featured
  • New
  • Viewings
  • Materials
  • Allow Receipt Copy
  • Receipt Copy
  • Is In Catalog
  • Msg To Billing When Paid
  • invoiceCopy
  • allowInvoiceCopy
  • isTaxable
  • hideInvoiceLineIfNoCharg
  • Max Quantity Per Order: Put a number in here to limit the number of this item that can be ordered at one time

Shipping

  • Shipping Required
  • Shipping Weight

Inventory Management

Use inventory management to help track item levels, notify an administrator when quantities are low, and remove items from the catalog when they are depleted.

  • Quantity On-Hand
The number of items you have available for ordering. This quantity is changed on order fulfillment.
  • Quantity Low
When the quantity on-hand falls below this level, the ecommerce administrators group will receive a notification

Permissions and Roles

In the Catalog tab of Items, in the ORDER BUTTON MODE field, you can select:

  • Always Hide to prevent anyone from ordering the item
  • Always Show to allow everyone to order the item
  • Show Based on User Group Policies to allow users in specific groups to order the item

To set the User Group Policies, go to Ecommerce Cart Settings. In the Group Policies section you will check the box next to ALLOW ORDERING. So for example, if you only want members to be able to order certain items, set the Order Button Mode field to "show Based on User Group Policies" and in Ecommerce Cart Settings check the field Allow Ordering next to the Members group(s).

Fulfillment

  • sendFulfillmentNotification
  • fulfillmentNotificationGroupId

General Ledger Transactions

  • Deferment Method : No Deferment, Defer to Deferment Date, Defer Monthly
  • Deferment Account : When a deferment method is selected, paying for this item creates an account transaction crediting this deferment account, and deferred transaction(s) debiting the deferment account to the item's income account.
  • Deferment Date : When the Deferment Method is Defer to Deferment Date, a single deferred transaction will occur on this date.
  • Number of Monthly Deferment Transactions : When the Deferment Method is Defer Monthly, this many deferred monthly transactions will be created, evenly spacing the income over the period.
  • generalLedgerAccountId

The following item fields only apply to Membership Items, used in Membership Manager

  • tbd

Tools

You can use INVOICE MANAGER to create manual invoices, credit memos and account charges. To access these features, log in and go to ADMIN. Click on the MANAGE ADD-ONS folder. Next click on the ECOMMERCE folder and then click on INVOICE MANAGER. From here you will click on the TOOLS tab

Enter Payments

Use the enter payments tool to add payments received from accounts and to apply previously entered payments that were saved as deposits.

Payment Methods

  • Cash - Select the cash payment method to enter a payment that requires no tracking (check number, credit card history, etc).
  • Check - use the check payment method to enter a check payment
  • Credit Card - use the credit card payment method to enter and process a credit card payment
  • Apply Deposit - use the apply deposit payment method to apply one or more deposits to an invoice.

Create a Deposit

Check this box to create a deposit for the account with the payment, or any excess of the payment not applied to invoice(s)

Do Not Send a Receipt

If the customer account is configured to receive receipt notifications, check this box will prevent a receipt from being sent to the customer for paid invoices.

Transaction Date

Leave this blank to post this transaction at the time the payment is applied. Enter a different transaction date to post the payment as needed. Note that the transaction date is limited by the transaction export data. Once a months data is exported, you cannot post a transaction before the end of that period.

Select unpaid charges

If the payment is to be applied to invoices, select the unpaid charges from the list.

Check Number

For Check payments, enter the check number for tracking purposes.

Credit Cards

For credit card transactions, enter the card number, expiration date and name on the card. Optional fields are available for CSV and billing zip code if you have configured your processor to required them.

Applying Deposits

when appying deposts to pay invoices, select the deposit(s) to apply. If the amount of the deposit(s) is greater than the invoices, check the Create a Deposit checkbox to create a deposit for the excess.

My Account

A public addon that lets account contacts (primary and billing) pay invoices with a credit card they enter.

User Profile

Here you edit name, email/user name, password, phone number, photo and organization selection.

Pay Invoices

Access this to view and pay current invoices.

Payment Information

Use the payment information screen to add or modify online payment methods such as credit cards and/or ACH methods. Select the primary and secondary payment method to be used to automatic payments. The secondary method is used if the primary method fails. If the secondary methods fails, all other payment options will be attempted as well.

Account History

Manage Subscriptions

Manage subscriptions lets a user subscribe and unsubscribe to any groups marked "Public Join", and cancel any paid subscription marked "Manage in My Account".

One application for this section is to let users remove themselves from specific email groups. To do this, include a link in your email to this page.

Free Subscriptions 
A free subscription is a group that has "Public Join" checked, and is NOT included in a subscription item.
Paid Subscriptions 
A paid subscription is an item that with a subscription type that has been purchased by the account. If the item is marked "Manage in My Account" in its subscription tab, it will be listed on the Manage Subscriptions page of My Account and users can cancel the subscription by unchecking the box and clicking save.

Manage Staff

Here you add, delete or update profile information for account users.

Manage Organization Profile

Here you can change the company name, address, phone, fax, web or email address.

Manage Certifications and Certificates

In this area of My Account, users can manage and maintain their certifications and certificates by uploading continuing education credits and making payments.

Developer Resources

The following api is provided to interface with ecommerce

Contensive Events

Any addon can create an Addon Event record. These event records can be manually created or will be created automatically when the addon throws them.

It can then throw the event with a cp method, like cp.site.throwEvent( “My Event” )

Any addon can register for the event with a checkbox in in a tab of the Addon record. When an addon is registered, it is called by contensive when the calling addon calls cp.site.throwEvent.

Arguments should be passed with document properties.

Item Fulfill Event

ecommerce.fulfillOrder

Called when an order is to be fulfilled.

Arguments:

  • OrderId: The order that needs to be fulfullled

Fulfillment for an order would include things like adding people to groups they purchase or mailing an item out. When the Fulfillment event occurs depends on the Pay Method. On Demand: Fulfillment happen at the time of the purchase Bill and Fulfill on payment: Fulfillment happends when the bill is paid Bill and Fulfill now: fulfillment happens when the bill is sent.

Calculate order details event

ecommerce.calculateOrderDetails

Called after calculating the amounts for each order detail in an order, and before calculating the shipping, taxes and total. use this to calculate a custom amount for an item . Arguments: OrderId: The order that is being calulated

Credit card Management

In order to edit any information pertaining to credit cards, a developer account must be used.

Ecommerce API

To use the ecommerce API, install the NuGet package Contensive.ecommerceApi, or clone the github repository for ecommerce, build, and make a reference to the apiclass DLL.

The following is a list of methods available. Details have been added to method heads so add a reference to the project and investigate methods there.

  • addAccountNote
  • addAccountOnDemandMethod
  • addAccountOrganization
  • addAccountUser
  • addMembershipKitFulfillment
  • addOrderItem
  • billAndFulfillOrder
  • billOrder
  • calculateOrder
  • cancelInvoice
  • cancelMembership
  • cancelSubscription
  • chargeOrder
  • closeAccount
  • createAccount
  • createOrder - if the application supports multiple seller accounts, a sellerAccountId is required
  • deleteSubscription
  • getAccountBillingContact
  • getAccountPayMethod
  • getAccountPrimaryContact
  • getAccountStatus
  • getChargesAndPayments
  • getInvoice
  • getOnlinePaymentFields
  • getOnlinePaymentFieldsForAccount
  • getOpenOrderId
  • getOrderDetails
  • getOrderShipOptionSelect
  • getShipCharge
  • getShipOptionSelect
  • getSiteStatus
  • getTransactions
  • getUserAccountId
  • getUserAccountList
  • payOrder
  • payOrdersByOnlinePaymentFields
  • removeAccountOrganization
  • removeAccountUser
  • setAccountBillingContact
  • setAccountOnDemandMethod
  • setAccountOnDemandMethodSecondary
  • setAccountPayMethod
  • setAccountPrimaryContact
  • setOrderAccount
  • setOrderPaid
  • setOrderPromotionalDiscount
  • setOrderShipMethod
  • setOrderUser
  • verifyAccount

Data Structure

The following database tables are used and/or created by Membership Manager.

People

People is a system Table which stores information about users.

Organizations

People is a system Table which stores information about companies.

Accounts

The account is the record that is charged. All transactions have to have an account to charge and be paid from.
tablename = abAccounts

memberId
Primary Contact, The primary contact for the account.
billingMemberId
Billing Contact, The person responsible for ensuring payment for the account. If blank, the Primary Contact is used.
billingMemberId
Billing Contact, The person responsible for ensuring payment for the account. If blank, the Primary Contact is used.
closed (Closed) 
When true, this account can no longer be charged.
payMethodId 
Lookup list below This represents the accounts preferred method of payment.
  • 1 - House
  • 2 - Credit Card
  • 3 - Billing
notificationMethodId 
Lookup list below. How the account would preferred being notified.
  • 1 - Email
  • 2 - Fax
termsId 
Lookup into content “Account Terms”. This information provides credit terms for the account.
dateHoldBillingUntil 
When not null, no payments can be run against this account until the date indicated. Charges should still accrue.
dateLastBillingNotice 
This is the date of the last time the account was notificed about a balance due.
requestedCancelDate 
After this date the account should not longer be charged. Services should be canceled on this date.
referralCode 
When the account was created, if a code was used for tracking it is saved here.
commissionAccountId 
If not null, commissions on payments to applicable charges are created in this account.
emailCharges 
When checked, all charges to the account should be emailed to the billing contact.

Orders

Account Transactions

Each entry represents either a credit or debit to the account. This will be considered an asset account so a charge increases and is a Debit, a payment decreases the balance and is a Credit.

tablename = abAccountTransactions

Approved 
payment transactions -- shows the payment was approved. If false, the transactions is not valid
isCharge 
If true, this is a charge transaction. A positive amount represents a charge to the account increases its balance due. A negative amount represents an adjustment that decreases the amount due.
isCommission 
if true, this transaction is a result of a commission on a different transaction
amount 
The amount of the transaction. Position amounts increase the balance due from the account.
accountId 
The account being charged or paying.
isSetupFee 
for charge transactions -- if true, this transaction is a one-time charge. If false, this transaction is a result of a recurring charge.
orderId 
Charge Transactions -- The order which originated the transaction
dateDue 
Charge Transactions -- Determined by the pay method and set at the time of the charge. Any transaction unpaid after this date has passed is passed due.
fromDate 
Charge Transactions -- When there is a service involved, the fromDate and toDate are the service dates.
toDate 
Charge Transactions -- When there is a service involved, the fromDate and toDate are the service dates.
recurringPurchaseId 
Charge Transactions -- When set, this charge was created by the associated entry in Recurring Purchases.
paidByTransactionId 
Charge Transactions -- When set, this transaction was paid by the associated transaction. One payment can pay multiple charges. If a partial payment is made on a account, the charge must be broken up and each charge paid in full.
paymentCheckNumber 
Payment Transactions -- The check number
creditCardNumber 
Payment Transactions -- cc number
creditCardAuthorization 
Payment Transactions -- authorizations from the payment gateway
authorizationMessage 
Payment Transactions -- message from the payment gateway
paymentAppliedToCharges 
Payment Transactions -- if true, this payment has been applied to charges.
orderId 
For charge transactions, this is the order the created the transaction.

Recurring Purchases

Each record represents a recurring purchase. The account billing process uses these records to create charge transactions periodically, which may then be paid.

table = abRecurringPurchases

accountId 
The account to be charged
itemId 
The item to use for purchase details
discountAmount 
if provided, this amount will subtracted from the product amount when creating the charge transaction
isCommissionable 
if checked, charges from this recurring purchase will be commissionable
dateChargeStart 
When set, no charges will be created before this date. When a charge is created, it will never be back-charged earlier then this date. The effect is this will be the start date for the purchase, reguardless of other transactions. However, no refunds will be created based on this setting.
dateChargeEnd 
When set, this represents the end of a contract period for a recurring purchase. This is generally the anticipated end of a longer purchase. For instance, this may be a monthly charge with a one year contract. The dateChargeEnd is the end of the year. It does not mean cancel, but represents the earliest time when the charge can be ended. The purchase will not be charge after this date.
requestedCancelDate 
When set, this is the date after which the customer no longer wants the service. The purchase will not be charge after this date.
referralId 
This is the ID of the referral record in referrals.
canceled 
When true, this purchase no longer charges
dateStart (dateJoin) 
This date is set to the date the purchase is created.
dateChargedThrough 
This date, set by the recurring purchase process is the date that this purchase has been charged through. The recurring purchase process will create a new order based on this date.
datePaidThrough 
This date is set by the payment process and manual payment entry.
dateInactivate 
This is the date that the product should be deactivated for non-payment.
dateCancel 
This is the date that the purchase is canceled for non-payment.

Groups

membershipControlled 
Contensive -- This is a developer-only field. When set, you can not add or remove anyone or delete the group. The Member Tracking Process (MTP) will set the field when it creates the groups.

Referrals

Is a list of codes created to track promotions and commissions. To use a referral, the customer enters a code which matches a referral record. The commissions and discounts then apply to only those items set in Referral Item Rules.

code 
The text code assigned to this referral. When entered during the purchase process, this referral is applied
commissionAccountId 
When provided, this commission account will be used for the Order or Recurring Purchase.
initialChargeDiscountAmount 
When provided, this discount amount will be applied to the initial purchase.
recurringChargeDiscountAmount 
When provided, this discount amount will be applied to recurring purchases.
recurringChargeDiscountPeriods 
When provided, the recurreint ChargeDiscountAmount only applies for this many periods.

Account Notes

Are a list of notes created the administrator.

accountId 
The account associated with this note
copy 
The text of the note.

Account Terms

The billing arrangements for accounts set to bill as pay method.

daysToPay 
The number of days after the purchase date before the due date.
Account Messages 
Are a list of messges created by the system to track activities.
accountId 
The account associated with this note
copy 
The text of the note.

Items

copy 
Long Text: The long description of an item. Used on the catalog details page.
overview  
Long Text: The short version of the description. Used on the catalog listing page.
hideOrderButton 
Boolean: When true, if the item display on a catalog page, it will not have an order button.
categoryId 
Lookup into Item Categories: Used to categorize items
itemNumber 
Text: Used only as a reference number on the catalog
UPC 
Text: Used only as a reference number on the catalog
materials 
Many to Many to Item Materials: Displays a list of downloadable documents for the item.
featured 
Boolean : Can be used to select specific items for a custom list.
new 
Boolean : Can be used to select specific items for a custom list.
viewings 
Integer : The number of times this item has displayed on the catalog details page.
quantityOnHand 
integer : For inventory managment, this in the number of items you have on-hand. Automatically decremented on order purchase.
quantityLow 
integer: For inventory managment, when the quantityOnHand is less than the quantityLow, the Inventory Management notification is sent.
imageFilename 
image: the large image of the item
thumbnailFilename 
image: the small image of the item
options 
Long Text : A list of options and their choices. Separate different options with new lines. Separate choices for each option with commas. For example, if the item is a shirt and you offer three sizes and two colors, the options might be
    size: small, medium, large
    color: red, blue, green
unitprice 
currency: the quantity 1 price without any discounts, etc.
saleprice 
currency: the quantity 1 price if the item has OnSale checked.
specialprice 
currency : the quantity 1 if the custom is in a group selected as a discount group
onSale 
boolean : when true, the item price will be the salePrice
allowReceiptCopy 
when true, receipts including this item will include the receiptCopy in the receipt's message box.
receiptCopy 
long text : when allowReceiptCopy is true, this text is included in the receipt's message box.
shippingRequired 
boolean : when true, this item will require shipping for the entire order, and the item's weight will be included in the order's weight calculation.
weight 
number : if shippingRequired is true, this is the shipping weight of the item.
organizationId 
Lookup into organizations: The source (manufacturer) for the item, included in the catalog.
sourceitemNumber 
Text: Used only as a reference number on the catalog
groupId 
The Subscription Group -- if this is not blank, anyone purchasing this item will be added to this group with the group expiration from groupExpirationPeriod and groupExpirationPeriodMonths
groupExpirationPeriod  
This is an integer value in Days. it is used for both the expiration date of a subscription when it is purchased, and for the recurring billing period when a recurringCharge is included.
groupExpirationPeriodMonths 
This is an integer value in Months, and acts like groupExpirationDays -- effecting both group expiration for subscriptions and the recurring purchase period.
isInCatalog (new) 
default true. if true, this item appears in the catalog
isCommissionable (new) 
default false. if true, the commissionaccountid receives thier commission on this item. For catalog purchases, the commission account is set when a new account is created with a referral code.
recurringCharge (new) 
if not zero, this purchase creates a recurring purchase record which charges the account at the beginning of each period, based on the groupExpirationPeriod and groupExpirationPerodMonths. If the periods are zero, the recurring Charge is not valid.
recurringPrebillDays(new) 
For a recurring item, how many days before the purchase date should it be invoiced. The Due date will still be the purchase date plus the days to pay (in account terms)

Orders

An order is created for all completed purchases. Processes may create incomplete orders as well. The line items of the order are orderdetails The completed order total is added to transactions as a purchase. Invoices sent represent a single orders.

Name
datePurchase

The effective purchase date for the order. For orders invoiced in advance of the purchase, this is the date the purchase should take place. For instance, for a membership that expires on July 1, you might want to invoice for the renewal 30 days head of time. The datePurchase is July 1, the invoice date may be June 1, and if you extend them 10 days credit, the dueDate would be July 10.

dateDue

When the order should be paid

specialPricing

If true, this order qualified

pricelevelFreeShipping

if true, this order qualified

itemCharge

The total amount of all items

shipCharge

The calculated amount of shipping

taxCharge

The calculated amount of tax.

priceLevelDiscount

The calculated amount of the discount based on the price Level Discount scheme

TotalCharge

The total of item, ship, tax and discounts

orderCompleted

(can be removed and use dateComplete instead) - see orderComplete for details.

readyForBatchComplete 
When true, the background batch will complete this order, performing all the billing, invoiceing and payment when necessary.
dateCompleted 
Legacy - set when the order is paid. Current - set when the order is billed. -- however, there is a special case to cover the order upgrade. If dateComplete is set and ccNumber is set, the order is considered legacy and must be Paid. In this case, the payDate is set to the dateCompleted and paidByTransactionid is set to -1 to prevent re-paying.
payMethod 
a text description of the pay method used
payDate 
When the order was paid. For online orders this is populated. For offline payments, it is populated at the time the order is paid.
ccAuthCode 
The code returned from the last payment process attempted.
ccTypeActionCode 
The code returned from the last payment process attempted.
ccRefCode 
The code returned from the last payment process attempted.
billName
phone
fax
company
address
address2
city
state
zip
country
shipDate 
date when order is shipping
shipTracking 
tracking number from the shipper
shipMethod 
text field with the name of the ship method used
shipWeight 
memberId 
visitorId 
visitId 
visitId 

orderDetails

Order Details represent the line items of an order.

name 
a text description of the item name, quanitity and options
orderId 
itemId
itemNumber
quantity
options
unitPrice
weight
sourceid
groupMemberId 
The user Id of the person who will be given membership for items with a groupId. These are items that provide group membership when purchased. The userid is saved in the orderDetail record because the group membership is created when the purchase is completed, which may be by a manual payment long after the purchase is made. if the groupmemberid is not set, the account contact will be used.
item Categories
Order Ship Methods
Item Materials
item Material Categories
Item Categories

Things to Test

  • Add new items
  • Set up promotional discounts
  • Set up sales tax
  • Set up a new account
  • Set up a credit limit
  • Create manual invoice
  • Create manual charge and credit
  • Close account
  • Send manual invoice and statement
  • Set up account primary and biling contact
  • Delete someone from account
  • Test My Account
  1. Profile
  2. Online Payments
  • Update Payment Info
  1. Manage Grops
  2. Manage Staff
  3. Organization
  4. Certificates and Certifications
  • Set up payment processor
  • Set up test credit card
  • Purchase process settings
  • Invoice settings
  • Reports
  1. Daily Activity Report
  2. Dues Deferment Report
  3. GL Account Summary Report
  4. Invoice Aging Report
  5. Item Category Purchase Report
  6. Item Purchase Report
  7. Purchase History Report
  8. Suspended Certification Report
  9. Top Buyers Report
  10. Top Category Buyers Report
  • Account list screen in Invoice Manager Dashboard
  • Account Details screens
  • Test auto billing features

Test Cases

These tests represent automated tests saved in the testcases folder of the project's GitHub repository. Tests with an asterisk are included in the tool panel unit tests. Tests in brackets [] must be manually tested.

1* - Buy Subscription Adds Users to Group 
buy a subscription > adds account's users to the subscription's group
2* - Cancel Subscription Removes Group Users 
cancel subscription > removes account's users to the subscription's group
3* - Add User updates user's groups 
add a person to an account (as an individual) > adds account's users to the subscription's group
4* - Add Org updates users' groups 
add an organization with person to an account > adds all the organization's users to the subscription's group.
5* - Remove Account User updates user's groups 
delete an individual user from an account > removes the user from the subscription's group
6* - Remove Account Org updates users' groups  
remove an organization with person from an account > removes all the organization's users from the subscription's group.
7* - Buy Membership adds users to groups 
buy membership > adds account's users to the membership's group
8* - Cancel Membership 
  1. Removes the account's users from the membership's group
  2. marks the account membership status as canceled
  3. leaves the membership type alone
  4. leaves the membership expiration date alone (DLI requirement)
  5. cancels all membership invoices
9* - Add User updates Membership group 
add a person to a membership account > adds the person to the membership's group
10* - Membership, Add/Remote Company Users 
add an organization with person to a membership account > adds all the organization's users to the membership's group.
11* - Membership, Add/Remote Individual Users 
delete an individual user from a membership account > removes the user from the membership's group.
12* - Membership, Add/Remove Organization 
remove an organization with people from a membership account > removes all the organization's users from the membership's group.
13* - Manually add a subscription 
Manually add a non-membership subscription (recurring purchase) to an account within the Account Manager UI > adds account's users to the subscription's group.
14* - Manually add a membership 
Manually add a membership to an account within the Account Manager UI > adds account's users to the membership's group.
15* - Manually Delete Subscription in UI 
manually delete a subscription within the Account Manager UI > removes account's users to the subscription's group. NOTE: we do not support deleting recurring purchases in the admin interface.
16* - Manually remove Account Membership type 
manually change an account from a valid membership type to a non-member type within the Account Manager UI > removes account's users to the membership's group
17* - Close Membership account updates groups 
close a membership account > removes account's users from the membership's group
18* - Close non-Membership account updates groups 
 : close a non-membership account > removes account's users from the subscription group
19* - Remove user from org with subscription 
remove a person from an organization that is part of a non-membership account > remove the person from the subscription group
20* - Remove user from org with membership 
remove a person from an organization that is part of a membership account > remove the person from the membership group
[21] - My Account Echeck if enabled 
Show My Account - Payment Options - eCheck options only if authorizenet payment processor enables eCheck
22* - House Account charge and payment 
  1. verify chargeOrder() completes, pays, sends receipt and fulfills
  2. verify payOrder() on new order completes, pays, sends receipt and fulfills
23* - On-Demand account charge and payment 
  1. verify chargeOrder() with no account pay options -- fails
  2. verify chargeOrder() with good account pay option -- completes, pays, sends receipt and fulfills
  3. verify payOrder() with good pay option -- completes, pays, sends receipt and fulfills
24* - Bill account charge and payment 
  1. verify chargeOrder() -- completes, sends invoice, no fulfillment. Then pay the invoice and verify fulfillment.
  2. verify payOrder() with good pay option, on new order charges -- completes, pays, sends receipt and fulfills
25* - Bill-and-fulfill account charge and payment
  1. verify chargeOrder() sends invoice and fulfills
  2. verify payOrder() on new order charges, pays and fulfills with good pay option
  3. verify payOrder() on open invoice pays and fulfills with good pay option
26* - Automatic Activation 
verify new memberships are active when automatic activation is checked, and pending when automatic activation is unchecked.
27* PayOptions are used in the correct order 
  1. *If a card or echeck is provided, no alternative methods are attempted
  2. *Primary is attempted first if it has a valid expiration date
  3. *if primary fails, secondary is used next if it has a valid expiration date
  4. *if secondary fails, all non-echeck payoptions are attempted if they have valid expiration dates
  5. *if account is billing, charging to account does NOT pay.
28* - Membership Grace Period 
Verify process with prebill set to 0.
  • initial purchase without fulfillment does not fulfill membership
  • after payment, run housekeep, membership is active and people are in groups
  • after expiration date but before end of grace period, run housekeep, account shows expired but people still in group
  • after grace period but before membership cancellation grace period, run housekeep, people are not in group but membership invoice is still ok
  • after membership cancellation grace period, run housekeep, invoice is canceled, membership is canceled, people are not in group.
29* - Membership renew 
Verify paying a membership renewal invoice extends expiration.
  • set grace period to 2, set cancelation grace period to 99
  • initial purchase with payment sets expiration and puts people in group
  • set date to 1 day after expiration and housekeep -- membership active, invoice created, people in group
  • set date to 3 days after expiration and housekeep -- membership expired, people out of group
  • pay invoice -- membership active, people in group
30 - Expiration Date 
Verify a 1 day subscription creates an expiration date rounded up to the next midnight. So if purchased at 5pm on March 15, the expiration date is March 17, and the subscription is not valid after housekeep runs on March 17.
31 - Automatic Subscription Cancellation 
Verify an unpaid non-membership subscription continues charging and allowing users in the group until the subscription cancellation period
32 - My Account Subscription cancellation 
Verify any non-membership subscription can be canceled in the My Account subscriptions
33 - non-expiring Membership 
Membership groups are determined by the membershiptype, not the subscription record. Remove the account membership expiration and the recurring purchase should be automatically deleted and all group membership should have no expiration date. Add an expiration and a recurring purchase is created and all group expiration is set as well.
34 - non-expiring Subscription 
Subscription groups are determined by the subscription record so a non-expiring subscription is one with a charged through date very far in the future (1/1/2100). Verify the user group membership has no expiration date when the subscription > 50 years.
35 - Subscription Charges Remaining 
if blank, a new charge is created each time charged through passes. If 0, the recurring purchase is canceled when charged through passes. if >0, it is decremented each time the charged through passes.
[36] - My Account Subscriptions 
All groups that are not selected in subscription items and have "Allow Public Join" checked can be added and removed in the My Account Subscriptions section. If the account is subscribed to an item and the item is marked "Manager in My Account" in the subscription tab, it can be canceled from the My Account Subscriptions.
37 - *Purchase Bundled Items with Subscriptions 
If you purchase a bundling item, the subscriptions for each bundled item are added to the account, and the users in the account are added to the subscription group(s)
38 - My Account prevents isRecognized 
if a user is recognized, my account logs them out before displaying any data
39 - My Account anonymous requires login 
if you are logged out, you must login
40 - My Account fresh page displays last form 
If yor nav to a form and refresh, the same forms comes back
41 - My Account select accounts 
The user can manage an account only if they are the primary, billing or carbonCopy contact on the account. If user can manager multiple accounts, user selects one from a list. When user refreshs page they remain on the account they picked. When user logs in, user sees the account they last picked.
42 - My Account select organization 
If the account has multiple organizations, the user can select the organization they wish to manager from the Manager Organization tool.
43 - getOnlinePaymentFields payment options 
  1. If order contains an On-Demand-Required item, only On-Demand options are returned.
  2. If order contains an On-Demand-Preferred item, only On-Demand items are offered.
  3. if the account is Billable, Bill My Account option is provided.
  4. If echeck is configured, an online Echeck option is provide.
  5. If online credit is configured, an online credit card option is provided. If there are any valid account pay options, each is provided as an option.
44 item On-Demand-Required 
If an order includes an On-Demand required item, the entire order must be purchased On-Demand.
45 Pay Order with bad card 
PayOrder() with card not matching test - card fails
46 Pay Order with bad expiration 
PayOrder() with card that has past expiration - card fails
47 Pay Order with bad security code 
PayOrder() with card that has past expiration - card fails
[48] Invoice Manager, Account, Purchase History UI 
  1. An unpaid invoice has a Pay link that takes the user to the manual payment tool, populated for this account and invoice
  2. Send Invoices
  3. Send Statement
  4. Cancel selected invoices.
49 - Account List speed 
10,000 accounts in the account list must display in 5 seconds
50 - inactive items show in reports do not show in current activity
  1. Do not show in
    • manual invoice
    • (add others as discovered)
  2. Show in
    • Past invoices
    • (add others as discovered)
51 - Housekeep, skipped if not enabled 
verify when housekeeping is enabled, the housekeep routine does not run. Verify when enabled, it only runs once per day and only during the time period selected.
52 - Housekeep, Batch is skipped if not enabled 
verify when housekeeping runs, the batch process runs only if it is enabled.
53 - Housekeep, Batch creates orders from recurring purchases 
Verify if a recurring purchase has a past charge-through date, an invoice is created for it and charged to the account
  1. free orders are paid and fulfilled
  2. house accounts are paid automatically
  3. Bill and Fulfill on Payment accounts are sent a invoice and not fulfilled until paid.
  4. Bill and Fulfill Now accounts are sent an invoice and fulfilled
  5. On-Demand accounts create an invoice and pay it with the account's pay options.
54 - Housekeep, Print Queue notification 
Verify a notification is sent to the ecommerce admin if the print queue is not empty
55 - Housekeep, Credit Card expiration notification 
Verify a notification is sent to the billing contact of all accounts if their credit card expires within 30 days.
56 - Housekeep, Ecommerce Credit Card Contacts group 
Verify all primary and billing contacts who have a non-expired credit card in their account go into this group.
57 - Housekeep, Account group and memberships verified 
Verify the following
  1. if a person is in a subscription group but not authorized, they are removed.
  2. if a person is an individual member in a subscription, they are added to the group.
  3. if a person is a company member in a subscription, they are added to the group.
  4. if a person is in a membership group but not authorized, they are removed.
  5. if a person is an individual member in a membership, they are added to the group.
  6. if a person is a company member in a membership, they are added to the group.
  7. if a person is added directly to the people table, they are added to their account's subscriptions
58 - Housekeep, Automatic export 
Verify it exports as follows:
  1. When disabled, it does not export
  2. When export mode is not 1 or 2, it does not export
  3. export mode 1 exports DLI custom format
  4. export mode 2 exports General Ledger transactions, only after the month is complete and only once per month, as described in this doc
59 - Housekeep, cancel all expired memberships 
For all membership past (membershipGracePeriod+membershipCancellationGracePeriod):
  1. membership status changes to canceled
  2. all users are removed from groups
  3. call invoices with membership items are canceled.
60 - Housekeep, verify membership recurring purchase 
verify all membership accounts have a recurring purchase that is charged through the expiration date
61 - Housekeep, cancel duplicate membership recurring purchase 
verify each account only has one membership recurring purchase.
62 - Housekeep, remove subscription group for Canceled Subscription 
verify housekeep removes users from group (boad issue)
63 - Housekeep, remove subscription group for Closed Account 
(boad issue)
64 - My Account, Online Payments 
Verify a user can pay invoices using the online edit form.
65 - Membership Type Purchasing 
Purchasing a membership type creates a membership account.
  1. if the account is already a membership, the previous membership type is set
  2. if the membership type has no subscription type or a perpetual subscription type, no membership expiration is set.
  3. if the subscription type is periodic or calendar, the membership expiration is set and a subscription is created. If renew on expiration is set, the subscription's Charges Remaining is left blank. If Renew is not checked on the membership type, Charges Remaining is set to 0.
66 - Subscriptions never fulfill bundled items 
If a bundling item is a subscription or membership, the bundled items are only purchased during the initial purchase and NOT during renewal.
67 - Subscription Dependency 
A subscription can be marked to be dependant on another Subscription. If a subscription expires or is canceled, all of it's dependant subscriptions are also canceled.
68 - Subscription items bundled with a subscription becomes dependant 
When purchased, a subscription bundled in a subscription automatically becomes a dependant on it's bundling subscription so it will be automatically cancelled when the bundling subscription is canceled.
67 - Membership renewal 
When a membership is renewed (all membership invoices created by membership subscriptions are paid), the membership expiration is updated to the subscription's charged through date, the renewed date is set.
68 - Membership renewal updates anniversary date : If a membership renewal covers a day PAST the anniversay (all membership invoices are paid), then the anniversary date event occurs, the membership kit is added and the anniversay date is updated by 1 year.
69 - On-Demand Account Prebills One Day 
Verify an On-Demand account is charged one day before expiration of a subscription
70 - Billing Account Prebill 
Verify the PreBill setting controls when invoices are created from subscriptions.
  • The effective purchase date does not change, only the billing day.
  • The date due is calculated with respect to the effective purchase date and does not change
71 - Subscription Charges Remaining 
Verify blank charges remaining has no effect, numeric charges remaining counts down each time the subscription is charged. If a subscription reaches its charged through date and the charges remaining is 0, it is canceled.
72 - subscriptions renew 
Verify subscription creates invoices on charged-Through date, adds people to groups with expiration, advances charged-through, advances group expiration.
  • initial purchase with payment creates subscription, sets charge-through and adds people to group.
  • set date to 1 day after chargedthrough and housekeep -- invoice created, people in group and expiration extended
  • pay invoice -- membership active, people in group
73 - Purchase Item with prefers-On-Demand 
Verify a billing account uses the On-Demand method when available
  1. in a recurring batched purchase
  2. in a manual invoice purchase
  3. in the api chargeOrder call (payOrder is not effected)
74 - Purchase Item with prefers-On-Demand 
VErify a billing account always uses an On-Demand method, else the invoice is not paid, the ecommerce admin recieves a notice, and an account note is created
  1. in a recurring batched purchase
  2. in a manual invoice purchase
  3. in the api chargeOrder call (payOrder is not effected)
  4. in the api getOnlinePaymentFields, only On-Demand fields are made available
75 - Add Deposits 
Deposits can be made from any of the payment methods
  1. Cash payments
  2. Check Payments
  3. Credit Card Payments
76 - Overpayments result in deposits
  1. Cash payments
  2. Check Payments
  3. Credit Card Payments
77 - Invoices can be paid with Deposits
  1. Single Invoices
  2. Combinations of Invoices
78 - An Invoice can be paid with Combinations of a Deposit and a payment
  1. Cash and a deposit
  2. Check and a deposit
  3. Credit Card and a deposit
79 - Item Pay Method Compatibility, On-Demand If Available 
If an item is marked on-demand if available and contains no items marked 'on-demand required', all orders containing that item can be purchased with any method with two exceptions. First if purchasing online, the customer will only be presented with and only process On-Demand methods and second if the purchase is unattended (batch processed) it will use On-Demand options on the account if available for both On-Demand and billing accounts.
  1. If an account has an On-Demand options, an API call from applications like meeting registration will only provide on-demand options
  2. If an account has an On-Demand options, background processing will only use those options
  3. If an account does not have an On-Demand option, an API call from applications like meeting registration will only support manual the On-Demand option.
  4. If an account does not have an On-Demand option, background processing will use the pay method set in the account.
  5. Invoice Manager manual payment will not be limited in anyway, but should include a message showing the administrator if an item in the order has this setting
  6. My Account payment screen follows the api call restrictions listed here.
80 - Item Pay Method Compatibility, On-Demand Required 
If an item is marked on-demand required, all orders containing that item must be purchased On-Demand, except if purchased with manual invoice and/or paid with manual payment.
  1. If an account has an On-Demand options, an API call from applications like meeting registration will only provide on-demand options
  2. If an account has an On-Demand options, background processing will only use those options
  3. If an account does not have an On-Demand option, an API call from applications like meeting registration will only support on-demand options.
  4. If an account does not have an On-Demand option, background processing will fail, adding an account note with alert and send email to admin, but not customer.
  5. Invoice Manager manual payment will not be limited in anyway, but should include a message showing the administrator if an item in the order has this setting
  6. My Account payment screen follows the api call restrictions listed here.
81 api.getAccountStatus includes account payOptions
  • payOption.Id - that can be used in api.payOrder()
  • payOption.Name - that can be displayed to the customer
  • payOption.isAch - true/false if this is an ACH option
82 - api.getSiteStatus 
returns the state of allowACHPayments reflected on the appropriate payment processor
83 - cancel dependent recurring purchases 
If a recurring purchase is cancelled, any recurring purchase with it marked as a dependency is automatically cancelled.
84 - Pay Method Compatibility set Billing Allowed, OnLine Payment Form 
If any account purchases an item marked Billing Allowed, the online payment form includes a bill my account option.
85* - Pay Method Compatibility set Billing Allowed 
If any account purchases an item marked Billing Allowed, the account is invoiced as Bill and Fulfill on Payment. When the invoice is paid, fulfilment occurs.
86 - Pay Method Compatibility set On-Demand-Required, OnLine Payment Form 
If any account marked Billing purchases an item marked On-Demand-Required, the online payment form only offers On-Demand options.
87 - Pay Method Compatibility set On-Demand-Required 
If any account marked Billing purchases an item marked On-Demand-Required, the invoice must be paid by and On-Demand method.
88 - Pay Method Compatibility set On-Demand-Preferred, OnLine Payment Form 
If any account marked Billing purchases an item marked On-Demand-Required, the invoice must be paid by and On-Demand method.
  • if the purchase fails, the invoice is left unpaid and an error message is returned.
89 - Pay Method Compatibility set On-Demand-Preferred 
If any account marked Billing purchases an item marked On-Demand-Required, the invoice must be paid by and On-Demand method.
  • if the purchase fails, the invoice is created but left unpaid, to be retried later
90 - transaction Unprocessed-Credit-Card handling 
Verify the field is clear if a valid processor is selected, and is set if Accept-unprocessed is selected
91 - API call billOrder() forces Bill PayMethod 
verify
92 - API call billAndFulfillOrder() forces Bill-and-fulfill PayMethod 
verify
93 - Close a parent account closes subaccounts 
verify
94 - Cancel a parent account membership cancels subaccount memberships 
verify
95 - API addAccountNote
96 - API addAccountOnDemandMethod
97 - API addAccountOrganization
98 - API addAccountUser
99 - API addMembershipKitFulfillment
100 - API addOrderItem
101 - API billAndFulfillOrder
102 - API billOrder
103 - API calculateOrder
104 - API cancelInvoice
105 - API cancelMembership
106 - API cancelSubscription
107 - API chargeOrder
108 - API closeAccount
109 - API createAccount
110 - API createOrder - if the application supports multiple seller accounts, a sellerAccountId is required
111 - API deleteSubscription
112 - API getAccountBillingContact
113 - API getAccountPayMethod
114 - API getAccountPrimaryContact
115 - API getAccountStatus
116 - API getChargesAndPayments
117 - API getInvoice
118 - API getOnlinePaymentFields
119 - API getOnlinePaymentFieldsForAccount
120 - API getOpenOrderId
121 - API getOrderDetails
122 - API getOrderShipOptionSelect
123 - API getShipCharge
124 - API getShipOptionSelect
125 - API getSiteStatus
126 - API getTransactions
127 - API getUserAccountId
128 - API getUserAccountList
129 - API payOrder
130 - API payOrdersByOnlinePaymentFields
131 - API removeAccountOrganization
132 - API removeAccountUser
133 - API setAccountBillingContact
134 - API setAccountOnDemandMethod
135 - API setAccountOnDemandMethodSecondary
136 - API setAccountPayMethod
137 - API setAccountPrimaryContact
138 - API setOrderAccount
139 - API setOrderPaid
140 - API setOrderPromotionalDiscount
141 - API setOrderShipMethod
142 - API setOrderUser
143 - API verifyAccount

Use Cases

These are the accepted use cases for the project.

Manage Accounts

Use Account Manager to create accounts, manage account details, and add users and organizations.

Add an Account 
An administrator can add an account, go to the account list and click [add] button. Enter a name for the account and [save]
Add a User to an account 
You first add a user to the system, then add the user to the account. A user can be added directly to the account (an individual user), or they can be added to an organization and the organization can be added to the account (a company user). To add an individual user, go to the Account User tab and click [add]. To add a company user, go to the organization tab and add an organization. All people with this organization set will show in the account user tab.
Add an organization to an account 
On the Organization table of account details, use the add button to add an organization. This adds all the organization's people to the account details people tab.
Add a Primary Contact 
To add a primary contact, go to the account details tab and select them from the list of account users.
Add a Billing Contact 
To add a billing contact, go to the account details tab and select them from the list of account users

Account Charge Methods

Set an account charge method on the account details screen. There are four: No Payment Necessary, Pay On-Demand, Bill and Fulfill on Payment, Bill and Fulfill Now.

No Payment Necessary Purchases 
If an account is set to No Payment Necessary, all purchases will be automatically paid without accepting customer payment. This includes online purchases, manual invoices and automatic batch invoice payments.
Pay On-Demand 
This is the default charge method for new accounts. All purchases require payment when they are charged.
Bill and Fulfil on Payment 
When the purchase is made, an invoice is sent to the customer. Fulfilment does not occur until payment is made.
Bill and Fulfill Now 
When the purchase is made, an invoice is sent to the customer and Fulfillment occurs immediately. An amount must be set in the Credit Limit field in an account in order for the account to use this charge method.

Account Notification Methods

Set an account notification method on the account details screen. There are four: Email, Fax, Print Queue, Email and Print Queue.

Email 
All invoices and other notifications will be emailed to the account contact.
Fax 
All invoices and other notifications will be faxed to the account contact.
Print and Mail Queue 
All invoices and other notifications will be sent to the print queue to be printed and mailed.
Email and Print Queue 
All invoices and other notifications will be emailed to the account contact and also sent to the print queue to be printed as necessary.

Charging to an account

When a customer purchases, they use the account set in their people record regardless in which account(s) they may be be included. Being included in the users tab of an account gives those uses access to the benefits of a purchase, such as being added to a subscription group or a membership group. To be allows to purchase on the account, each person can have one and only one purchasing account set in their people record.

Purchase on your Billing Account 
When a person purchases online, they use the account set in their people record under billing.
Purchasing without a Billing Account 
If the Ecommerce Setting "Create Ecommerce Account Automatically" is checked, an account will be created automatically for the customer when they purchase online. Otherwise the customer cannot purchase online.
Purchasing with a closed account 
If the Ecommerce Setting "Create Ecommerce Account Automatically" is checked, an account will be created automatically for the customer when they purchase online. Otherwise the customer cannot purchase online.

Orders and Invoices

An order is a list of services and items to be sold to a customer. Online it is represented by a shopping cart. When the order is charged to the customer it is called an Invoice and can no longer be modified. When an Invoice is paid, it becomes a receipt and can no longer be cancelled.

Uncharged Orders 
When a customer adds items to their shopping cart, the order remains uncharged. For online ordering with on-demand payment methods, the order remains uncharged until it is paid. For all other cases, an order is first charged, then paid.
Charged Orders (Invoices) 
When an order is charged, it becomes an invoice with a due date based on the customer's charge method.
Paid Orders (Paid Invoices / Receipts) 
When an order is paid, it becomes a receipt.

Account Statements, Balances and Invoices

An Invoice represents a charge to the account. The account statement reflects the status of an account at a particular moment.

Add an invoice to a Statement 
Add an unpaid invoice to a billing account (Bill and Fulfill) and it appears on the statement, increasing the account balance.
Pay an Invoice to remove it from a statement 
When an invoice is paid, it is removed from the account statement.

Closed Accounts

When an account is closed, it can no longer be used, but its history and settings are preserved.

Close an account
You can close an account from the account list by selecting the account and clicking [Close Selected Accounts]. You can close an account from the account details page with the close account button.
Unpaid Invoices and Recurring Purchases are canceled 
When an account is closed, its open invoices and recurring purchases are cancelled.
Use of a closed account 
Users with a closed account set cannot use it. If they attempt to purchase online, a new account will be created for them.
Re-Open a Closed Account 
Locate the account in the account list by filtering for closed accounts. Edit the account and change the account status to open. Users who have not created new accounts will be able to use the account again.

Membership Accounts

Membership Accounts are accounts that have a Membership Type set.

Create a membership type 
A membership type is a type of item. Create a membership type in Membership Manager. Only a name is required.
Create a Membership Account 
Add an account to the system and set their membership type.
Add a Membership Group to a Membership Type 
Edit the membership type and on the subscriptions tab, set the group. All users in Membership accounts to the this membership type will be added to this membership group.
Add an expiration to a membership type 
Edit the membership type and on the subscriptions group, set the subscription duration. Existing membership accounts will not be changed. When this membership type is next purchased, the account's membership expiration will be set based on the duration set in the membership type.
Membership auto renewal 
Edit the membership type and on the subscription tab, set the membership to renew on expiration. This will create a recurring purchase record of every account set to this membership type with an expiration date. The recurring purchase will be set as "charged through" the account's expiration date.
All Account Users are added to the Membership Group 
All people in the user table of account details are automatically added to the membership group with the membership expiration date. If you add an individual user to the account, they are automacally added to the Membership Group. If you add an organization to the membership, all the organization's users are added to the Account, and to the Membership Group
Membership Groups can only be set to people who are users in a Membership Account 
When a person is removed from the people tab of an account, they are automatically removed from the membership group for the account

Automatic Billing

Account Manager automatically charges customers for recurring purchases, and automatically pays outstanding invoices for accounts setup as On-Demand

Set the automatic billing time of day 
Use Ecommerce Settings to set the time of day when automatic bill occurs.
Recurring Purchases control automatic charges 
To create an automatic charge, add a recurring purchase to the account. If the charged-through date is blank, the account will be charged on the next batch. Otherwise, the next purchase date will be determined by the "charged-Through" date.
Recurring purchase for On Demand Accounts 
On Demand Accounts are charged on the "charged-Through" date.
Recurring purchase for Billing Accounts 
Both Bill and Fulfill Now and Bill and Fulfill on Payment are charged on or before the "charged-Through" date, based on "Pre-bill days for billing accounts" set in Ecommerce Settings.

Invoice Payments

There are several ways an account can pay for an invoice.

On-Demand Payments 
When an account is configured as on-Demand and has a valid On-Demand payment option configured, an invoice charged to the account is paid by the primary on-demand method first. If that fails, it is paid by the secondary on-demand payment method. If that fails, all others are attempted.
One-Time On-Demand Payments 
An online payment by credit card or echeck is considered a One-Time on-demand payment. When a one-time payment fails, the order is not converted into an invoice and can be abandonded or modified. Since no invoice is created, the charge is not retried.

Pre 2016

  1. Test Setup
    1. Item: Leaves
      • Set a name, a unit price, no subscription
      • GL, Post Method = Normal (should be default), Defer Account = Deferred Income, Income Account= Leaves Income
    2. Item: Rock (Proforma)
      • Set a name, a unit price, no subscription
      • GL, Post Method = Proforma, Defer Account = Deferred Income, Income Account = Rock Income
    3. Item: Test Meeting
      • Set a name, a unit price, no subscription
      • GL, Post Method = Defer Date, Defer Date = A Future Date, Defer Account = Deferred Income, Income Account = Meeting Income
    4. Account: House
    5. Account: On-Demand-With-Card
    6. Account: Bill-Ship-Now
    7. Account: Bill-Ship-On-Payment
  2. Test Verification
    1. Valid Unpaid Invoice
      1. Go to Account > Purchase History > Verify Invoice Row Complete
      2. Go to Account > Purchase History > click on invoice number > Verify Invoice displays correctly
      3. Go to Account > Transactions > Verify one row for new charge
    2. Valid Cash Payment
      1. (how to validate a cash payment)
    3. Valid Check Payment
      1. (how to validate a check payment)
    4. Valid Credit Payment
      1. (how to validate a credit card/ach payment)
  3. Test Tools
    1. Test Create Invoice Tool - this is just to test basic functionality. Transactions will be tested separately.
      1. Payment Methods
        1. Charge the account -
          1. Charge and order to the On-Demand-With-Card account. It should create a paid invoice.
          2. Charge and order to the Bill-No-Ship account. It should create an unpaid invoice.
        2. Bill the order but do not pay
          1. Charge and order to the On-Demand-With-Card account. It should create an unpaid invoice.
        3. Create the order but do not bill
          1. Charge and order to the On-Demand-With-Card account. It should create an uncharged invoice.
      2. Shipping Charges
        1. Set no shipping charge - charge to account Bill-No-Ship. Verify no shipping charges
        2. Set a shipping charge - charge to account Bill-No-Ship. Verify the shipping charges
      3. Invoice Messages
          1. Verify the unpaid message appears on unpaid invoices
          2. Verify the paid message appears on paid invoices
      4. Line Item options
        1. Quantity - Required
        2. Item - Optional
        3. General Ledger Account - overrides item's GL Account
        4. Price - overrides item's GL Account. Required if no Item.
        5. Description - Required if no Item
        6. Quantity - Required
    2. Test Enter Payments Tool
    3. Test Create Credit Tools
    4. Test Create Charge Tool
    5. Test Process Batch Tool
    6. Test Export Data Tool
    7. Test Item Features
      1. Subscriptions
      2. Bundling
      3. Inventory
      4. Fulfillment Notification
  4. Testing Transactions
    1. Bill Fulfill on Payment Account
      1. Manual invoice + Cash Payment
        1. Single Item Order
          1. GL Post: Normal
            • After charge, verify account balance + AR + verify invoice + account transactions + gl transactions
            • After payment, verify account balance + AR + verify paid invoice + account transactions + gl transactions
          2. GL Post: Proforma
          3. GL Post: Proforma Defer Date
          4. GL Post: Proforma Defer Term
        2. Single Item Order Plus Tax and Shipping
          1. GL Post: Normal
          2. GL Post: Proforma
          3. GL Post: Proforma Defer Date
          4. GL Post: Proforma Defer Term
        3. Combination Item Order
          1. GL Post: Normal + Proforma
          2. GL Post: Normal + Proforma Defer Date
          3. GL Post: Normal + Proforma Defer Term
          4. GL Post: Proforma + Proforma Defer Date
          5. GL Post: Proforma + Proforma Defer Term
          6. GL Post: Proforma Defer Date + Proforma Defer Term
        4. Bundled Item Order
          1. GL Post: Normal + Normal
          2. GL Post: Normal + Proforma
          3. GL Post: Normal + Proforma Defer Date
          4. GL Post: Normal + Proforma Defer Term
          5. GL Post: Proforma + Proforma
          6. GL Post: Proforma + Proforma Defer Date
          7. GL Post: Proforma + Proforma Defer Term
          8. GL Post: Proforma Defer Date + Proforma Defer Date
          9. GL Post: Proforma Defer Date + Proforma Defer Term
      2. Manual invoice + Check Payment
      3. Manual invoice + Credit Payment
      4. Manual invoice + Deposit Payment
    2. On Demand Account
    3. Bill and Fulfill Account
    4. House Account
  5. Settings#

Revision History

January 15, 2016

  • Added Transaction Memo field to Manual Cash Payments to assist when entering non-traditional payments.
  • Further clarified the use of capital letters, hash tags, parentheses, and brackets in account transaction descriptions.
  • Added a setting to let admin set the time of day for the batch to run.
    • Sentences start with capital letter
    • square brackets wrap system generated items and enumerations, such as transaction numbers. The brackets provide clarification for empty lists and leading/trailing spaces.
    • parentheses set off structurally independent details, such as check numbers and cash memos
    • Hash tags (#) are not needed in front of numbers as they take up real estate and provide no additional information.
  • fix: Applying a single deposit to an invoice did not work
  • fix: transactions dates that include no time portion (now possible with the manual payment transaction date) are not included in the daily summary.

February 25, 2016

  • bugfix: Log fills with invoiceId line
  • bugfix: if you have multiple credit cards and the first fails, and the second passes, the transaction is marked failed and is retried.

April 8, 2016

  • Added ability to add/modify each tab and feature list item so each customer can have custom reports
  • Converted subscriptions to account/org/user as memberships had been, so a subscription puts everyone in the account in the subscription group (for division requirement)
  • Migrated all membership and subscription account verification to ecommerce api and now called from membership.
  • UX update for Visibility of System Status. Button hovers and navigation highlights.

May 6, 2016

  • Added Deferral Report to Invoice Manager
  • Added Pay Method Compatibility items
  • Added ability to pay and invoice with a combination of previous deposits and a current payment.
  • Removed No Charged invoices from Invoice Manager list
  • Bugfix - account hold should only apply to batch payments