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Tag: Cash register system

Cash Register: Product Sales

Under product sales, you can view how many products your employees sold to customers within any selectable time period and receive an average value for product sales per appointment.

You can download detailed cash register documentation here.

Categories: Scanning & Sales
Tags: Kassensystem, Produkte, Produktverkauf, Statistiken

Register: Monthly Overview

The monthly overview shows you the sales for a selected month or any time period. The sales are grouped by employees and services.

Exports

Click the "Exports" button to export documents in various formats from the selected time period.

Important information about DATEV export can be found here.
How to send monthly statements to your accounting firm and how to give them their own accountant access, you can find out here.

For detailed information about the Belbo cash register system, see our cash register documentation (PDF).
Categories: Daily Closing & Reports
Tags: Kassensystem, Monat, Monatsübersicht

Register: DATEV Export

Below we describe what configuration options you have to generate your DATEV export. Certain tools require explicit sales tax postings, for example, while for others the sales account is an automatic account.

In general, the DATEV export always follows the chart of accounts and stored account plan. Revenues can either be posted directly or via a debtor account. If postings are made "directly", different payment methods are subsequently debited from the cash account.

Direct Posting without Accounts Receivable


Customer pays 119 euros (incl. 19% VAT) directly in cash

The general posting entry without accounts receivable is as follows:

Debit Credit
1600 · 119 to 4400 · 100
3806 · 19

If 4400 is not an automatic account, this posting entry is translated into the following postings:

Amount Debit/Credit Indicator Account Contra Account
100 C 1600 4400
19 C 1600 3806

If 4400 is an automatic account, this posting entry is translated into only the following posting:

Amount Debit/Credit Indicator Account Contra Account
119 C 1600 4400 (Automatic Account)

 


Customer pays 119 euros (incl. 19% VAT) directly with 50 euros cash and 69 euros card

The general posting entry without accounts receivable is as follows:

Debit Credit
1600 · 50
1800 · 69
to 4400 · 100
3806 · 19

In theory, both the cash account and the card account would need to post against the sales revenues. If accounts receivable accounting is used, this can be separated more cleanly. Otherwise, the cash account is typically misused as a transit account and the full amount is debited against the cash account. Subsequently, the card account is posted from the cash account.

If 4400 is not an automatic account, this posting entry is translated into the following postings:

Amount Debit/Credit Indicator Account Contra Account
100 C 1600 4400
19 C 1600 3806
69 C 1800 1600

If 4400 is an automatic account, this posting entry is translated into only the following posting:

Amount Debit/Credit Indicator Account Contra Account
119 C 1600 4400 (Automatic Account)
69 C 1800 1600

Customer pays 119 euros (incl. 19% VAT) directly with 50 euros voucher and 69 euros card

The general posting entry without accounts receivable is as follows:

Debit Credit
1604 · 50
1800 · 69
to 4400 · 100
3806 · 19

In theory, both the voucher account and the card account would need to post against the sales revenues. If accounts receivable accounting is used, this can be separated more cleanly. Otherwise, the cash account is typically debited with the full amount in this case - even though no cash transaction took place! Subsequently, the card and voucher accounts are posted from the cash account.

If 4400 is not an automatic account, this posting entry is translated into the following postings:

Amount Debit/Credit Indicator Account Contra Account
100 C 1600 4400
19 C 1600 3806
50 C 1604 1600
69 C 1800 1600

If 4400 is an automatic account, this posting entry is translated into only the following posting:

Amount Debit/Credit Indicator Account Contra Account
119 C 1600 4400 (Automatic Account)
50 C 1604 1600
69 C 1800 1600

If you choose the cash account as the reference account, your posting entries would look as follows:

Amount Debit/Credit Indicator Account Contra Account
119 C 1600 4400 (Automatic Account)
50 D 1600 1604
69 D 1600 1800

Posting with Accounts Receivable


Customer pays 119 euros (incl. 19% VAT) directly in cash

The general posting entry with accounts receivable is as follows:

Debit Credit
1200 · 119 to 4400 · 100
3806 · 19
1600 · 119 to 1200 · 119

If 4400 is not an automatic account, this posting entry is translated into the following postings:

Amount Debit/Credit Indicator Account Contra Account
100 C 1200 4400
19 C 1200 3806
119 C 1600 1200

If 4400 is an automatic account, this posting entry is translated into only the following posting:

Amount Debit/Credit Indicator Account Contra Account
119 C 1200 4400 (Automatic Account)
119 C 1600 1200

 


Customer pays 119 euros (incl. 19% VAT) directly with 50 euros cash and 69 euros card

The general posting entry with accounts receivable is as follows:

Debit Credit
1200 · 119 to 4400 · 100
3806 · 19
1600 · 50
1800 · 69
to 1200 · 119

If 4400 is not an automatic account, this posting entry is translated into the following postings:

Amount Debit/Credit Indicator Account Contra Account
100 C 1200 4400
19 C 1200 3806
50 C 1600 1200
69 C 1800 1200

If 4400 is an automatic account, this posting entry is translated into only the following posting:

Amount Debit/Credit Indicator Account Contra Account
119 C 1200 4400 (Automatic Account)
50 C 1800 1200
69 C 1800 1200

Customer pays 119 euros (incl. 19% VAT) directly with 50 euros voucher and 69 euros card

The general posting entry with accounts receivable is as follows:

Debit Credit
1200 · 119 to 4400 · 100
3806 · 19
1604 · 50
Categories: Accounting & Exports
Tags: DATEV, Export, Kassensystem, Steuerbüro

Cash Register: Expenses and Deposits

Once you withdraw money from the cash register or add a cash deposit, this transaction must be documented before the daily closing is made.

1. Document expenses and deposits

If you withdraw money from the cash register, for example to purchase goods, this transaction must be documented in the cash register to ensure an accurate cash balance. This also applies to private withdrawals, deposits, or if you withdraw money from the cash register to take it to the bank later.

  1. Click on the "Expenses" tab in the cash register.
  2. Select the appropriate expense button (e.g., "Office Supplies").
  3. Write down the automatically generated receipt number by hand on the cash receipt, which you will submit to the tax office.
  4. Then enter the amount of the expense and the expense date as shown on the cash receipt.
  5. Save your expense.

2. Add and manage expense templates

Expense templates are designed to make operating the cash system easier in everyday use. Depending on your tax office's requirements, template buttons can be added to your cash register to correctly record expenses and deposits.

  1. Click on the cash register in the main navigation and switch to the "Expenses › Templates" tab.
  2. Select the "New Booking Template" button and fill in the fields.
  3. For expenses paid with cash from the register: "From Account" is the cash register – "To Account" is the target account
    (for example, "Representation Expenses").
  4. For deposits of cash into the register: "From Account" is the deposit source (for example, "Private Deposit") – "To Account" is the cash register.
  5. After saving, you will see the new template in the "Expenses" menu item.

First discuss with your tax office what regular cash expenses you have and set up the corresponding accounts in your cash register system if they do not already exist. Examples of such expenses are representation costs, entertainment expenses, or postage.

3. Deleted expense accounts

If you see a hidden button under your expense templates that you cannot click, you most likely deleted a booking account that you need for this expense.

If you have deleted a booking account, you can check this under Settings > Your Chart of Accounts > Accounts > Deleted Accounts. You will see a list of deleted accounts where you can quickly see which booking accounts have been deleted.

If you need one of the accounts again, simply click on the deleted account and then click on the Restore Account button.

The booking account is quickly restored this way. The expense is also clickable again with the restored account. After you have restored the booking account, make sure the correct link is set up in the expense templates. You can check this by clicking on Cash Register > Expenses > Templates > click on desired template > Select Target Account. The target account is the booking account you have restored.

You can download detailed cash register documentation here.

Categories: Daily Closing & Reports
Tags: ausgaben, Kassensystem

Cash register function

With the Belbo cash register, you can record your services and product sales, generate receipts, and create daily closings. The cash register function is a paid option that you can have activated by our staff over the phone.

After activation, there is a "Cash Register" button in the top right.

You can download detailed cash register documentation here.

Categories: Checkout process
Tags: Kasseneinrichtung, Kassensystem

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