To post a settlement for a part exchange, follow these steps:
Access the Vehicle Administrator's Toolkit:
- From the Navigator Main Menu, select Vehicles.
- In the dropdown menu, choose Vehicle Administrator’s Toolkit.
Locate the Host Stock Record:
- Search for the relevant stock record.
- Once the stock record is displayed, select the PX Details tab.
Post the Payment:
- Click the Post Payment button.
Enter the Required Details:
- Agreement No
- Amount to Pay
- Payment Method: Use the dropdown menu to select whether the settlement is Contra or Cheque.
- Payment Date
- Cheque No
Complete the Process:
- Once all fields are filled in, select Post to finalize the settlement.
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