You can get to this part of the system when you first log in by clicking on the Cash Register Icon on the left side of the blue Admin Toolbar, or by going to POS > Register.
The Functions of the Rain System Register
Opening and Closing Your Till
Every morning when you log in, you will need a manager or owner to do the initial system login for the day. Our system automates as much as it can about your opening and closing procedures, so it automatically closes out the previous day's operations and starts you fresh every morning with a clean slate. To start your day, you will want to count your cash in your cash drawer and jot the totals down somewhere for later reference.
As you go through your day, the system will automatically track all sales. Be sure you are properly logging each transaction in our Register with it set to the proper Till in the system. After you have closed your doors for the day, do another count in your cash drawer and subtract the morning's total from the new one, and that will be the cash you took in for the day. In our system, go to Reports > End of Day, and where it says All Tills, click on the till you've been working in (Main Register, pictured below), if you only want to view your sales for the day. Look in the Tender by Till section a little further down, and confirm the Cash total for your Till for the day. You can also confirm totals for checks, card receipts, and any other odds and ends you might have taken in. That's it! The system keeps a permanent record of all of those sales and totals, and you can reference that information whenever you need to!
Working with Classes
You can add Class registrations to your Register the same way you add your products. First you will want to make sure to have the Customer name loaded into the Register so that the class registration will properly show their name and will be associated with their account. If you have created a class and if it has upcoming sessions, you can search for it and select it from the drop list (see below). Note that your products will display a Price Tag icon and your classes will display a Mortarboard Hat icon in the drop list and also in their line item entry.
Once you have clicked on the appropriate class, a Available Classes side panel will pop up with upcoming sessions listed. You'll be able to see the available seats for each session, if you have set those for the class, and you can click on the session you want to register it for this participant.
After you have selected your class, you'll see a list of dates and times for any sessions in the series, if it has them. Please note that in your Register, you are able to overbook a class if you want. The system assumes you know more than it does about class seats you have available, so if you select a Quantity larger than the number of available seats (as in the example below), the system will show you how many seats you're overbooking. For everything else, the line item will behave as you would expect in the Register, meaning you can apply discounts (if you have set the class to be eligible for discounts on its Pricing tab) and will generate Reward points (if you are using that system, and if you have set the class to be eligible for Rewards on its Pricing tab). You can check out with the class registration and the customer can pay for it in the normal way. For more info on how to work with creating your classes, click here.
Managing Rewards from the Register
What do you do if a transaction goes through and one or more of the products didn't generate reward points as they should have? What happens if there's a mistake with a customer's Reward Coupon and it accidentally gets deleted? You have control over the Reward Points and Reward Coupons for your customers, and you can always adjust them or work with them as needed. Here is how.
When you have a Customer loaded into your Register, you can see how much they need to spend to earn a Reward Coupon, and if they earn a Reward, the system will let the sales clerk know at that time (if you have set it to do so, see Settings link above). To work with a Customer's Rewards from the point of sale Register, click on the Customer's name and in the Edit Customer panel, click on the Settings tab.
If you know the Customer should not be in your Rewards program, you and turn Off the Rewards Eligibility, and none of their purchases will generate Reward Points (by default, this is set to On). You can manually adjust the current number of points the Customer has in the Rewards Accrual field. You can also look at the customer's Reward Coupons by clicking the View Coupons button.
You can see a list of all Reward Coupons the Customer has earned, see which have been Redeemed (and you can click on the Transaction ID in the Redeemed column to view the transaction where they were used and in the Issued column for the transaction in which they were earned). On the far right you can click to delete a Reward Coupon. If for any reason you need to create a Coupon for the Customer, click the Add Reward Coupon button.
There are several ways you can access completed transactions in order to process Register Returns (return transactions on purchases that were completed in the Rain point of sale Register).
- The easiest way is to scan the barcode on the original transaction receipt into the area where you scan products. If the transaction went through the Rain system, the details will pull up immediately.
- You can load the Customer into the Register, click on their name, and go to their History tab to find the transaction. Click on it to load it into the Register.
- If you don't know the Customer's name, you can go to Reports and click on the End of Day and go to the day the transaction happened and find it in the list of Transactions at the bottom of the report. Click on the ID to open the transaction.
- If you don't know the Customer's name or the date or even the total amount of the transaction, you can go to the Transaction Detail report, set a time frame in which you know the transaction happened, then search for the item being returned. A list of all separate transactions including that product for that date range will load, and you can find the one you want and click on the Transaction ID to open it.
Once you are in the Transaction View, click the Return Items button to begin processing your Return. Please note that if you don't have a Customer name loaded, you will not be able to return to On Account.
The Return panel will open on the side and you'll see a list of all items eligible to be returned. Click on any Items Purchased that are being returned and then Close the panel.
You will see the items being returned as line items in the Register, but they are slightly different from your normal line items:
- Item Description - The title of the item, any Options for it (e.g. Color: Red), and whether or not the item will be restocked is displayed here.
- Price - You can, if needed, edit this price, but the system will have already loaded the original selling price for the item here.
- Quantity - By default, all items purchased in the line item will be here as a negative quantity. For example, if Tyler had bought three of the Aras Eagle Packs, it would display a -3 here, and if he was only returning one of them, the Quantity could be changed to -1.
- Restock - In the normal Register, the blue pencil is for line item discounts, but in a Return, the discounts will have already been accounted for, so the function of the blue pencil is to Restock the item (default) or to not restock it.
- Return - Once you have your line item(s) configured, click the Return button to choose how the funds will be returned.
When the Refund Options panel opens, the amount being refunded will automatically be loaded into one of the payment method boxes. If you wish for the funds to go back a different way, in order to choose how the funds go back to the Customer, you can change the field that has an amount in it to $0, and that amount will automatically be loaded into the Remaining area. Click on the amount field for the method you want to use, and the total that's in the Remaining field will load in there without you having to type it in. Please note that if Credit was not used as a payment method in the original transaction, you do not have the option of returning to a credit or debit card account.
In our example, Tyler has a Balance Owed of $112.05, so our store policy is to apply any returns to that amount before all else. We shift all of the funds to the On Account method in the manner described above then click Close to finish our allocation.
With all of the return funds fully accounted for, the Register will be ready to complete the Return. You'll see each of the payment methods listed as this example: Refund: Account. Click the green Checkmark button to finish the Refund Transaction and print or email the receipt.
For items that were purchased before you started using the Rain point of sale system, you are still able to process what are known as Legacy Returns. This can be an anonymous return that does not need to include a Customer. Please note that if you don't have a Customer name loaded, you will not be able to return to On Account. This method of returning items is quite simple: just search for the item being returned (or click the blue + button to create it), and then give it a -1 Quantity (or whatever negative number is needed for however many items the Customer is returning). The Register will automatically change to the Return view, and you can process the Return using the steps described above.
Exchanges are equally simple in the Rain point of sale system. Begin with the item(s) being returned, as in our example above. Add the line item for the Return and give it the appropriate negative Quantity to set the line item as a Return. Complete the Return transaction first, by itself. The reason you want to separate the transactions is so your reporting will accurately show your Profit Margins on the items. If you were to do them both in the same transaction, it would result in showing a 0% profit margin on the sale.
After you've completed the Return, add whatever item(s) the Customer is purchasing for the Exchange into a new transaction, and the transaction can be completed in the normal way.
To Void a transaction, you need to reopen it using one of the methods described above in the Register Returns area (scanning the original receipt, clicking the Customer name in the Register and finding it in the History tab, finding the transaction in the End of Day report, or searching for it by item in the Transaction Detail report).
Once you've loaded the Transaction View, click the Void button below. A strong warning will pop up. Of particular importance is that once the Void is done, it cannot be undone or adjusted in any way: it will reverse everything that happened in the transaction. If you are sure you want to proceed with the operation, click Void Anyway. At that point, the only way to view the transaction will be to look in the Customer's History, or in the Voided Transactions report.
For more information on other Register operations such as opening and closing procedures, working with Reward Points, Classes, changing transaction details after the fact, please click here.