This is the Company Group or Travel Agent FAQ page - click on a link below to go to other FAQ pages.
Company, Group, Travel Agent
How do I make a reservation
that is to be charged back to the company?
When making a
reservation that is to have some charge backs to a Company/Agent then the
guest should be linked to the company via the Company field in the
Reservation Detail screen, at time of booking. This guest will now have
two Folios, one called Guest and the other by the Company Name you
associated it with. You can post charges or payments to either the Guest
or the Company folio by indicated with the toggles in the Charge/Payment
screen.
How do I
choose specific rooms to make a block booking?
Group, Company and T/A multiple
bookings can be made by left - right click on an empty room. Select the
number of rooms, rate plan, market segment and business source. This will
copy the reservation in any available room. Then Drag & Drop the
reservations from room to room by holding down the Ctrl Key and hold the
left mouse button down and drag-drop the mouse.
How
do we charge all group rooms to one master record?
If you decide to
use one of the Group Bookings as the master and therefore post all charges
and payments to it, you need to make the rest of the group’s bookings
Nightly Charge nil. Post payments to the allocated group master booking
then print the folio as is. You should then print and attach a Group
Arrival Report, entering the From / To dates as the Group’s arrival date,
and this will display all the reservations that make up the group as well
as Number of Adults and Chilldren. If you decide to post charges to each
of the Groups’s bookings then you would part post any payments received to
each of the Group’s booking and print Group Summary Transaction Report as
an Invoice/Receipt.
How
do I transfer existing balances such as Amex, Diners etc?
You can
make a "city ledger" account by making a reservation under the name of
Amex. Check the reservation in, check it out. The name will disappear off
the grid, but now you can go into File-Find Guest and find Amex. Highlight
it and select Show. The ccount will come up for you to post charges and
payments to. This will be the Master Amex account and you can post a
charge called Balance Carried Forward.
How do I transfer balances
from all current Company Debtors - would you use "Balance
Transfer"?
Yes. Follow the steps above for all Company
Debtors (IE: same as Amex and Diners). Make a fake reservation for them,
check them in and out. This creates an account for them that you can post
a charge called Balance Transfer. Set up the Transaction Code "Balance
Transfer" by going into System Transaction Codes.
How do I move transactions
between Guest and Company folios?
Transactions can be moved
between folios in the same reservation. In other words if you accidentally
post a transaction to the wrong folio you can move it to the correct folio
by clicking on the transaction whilst viewing the folio to highlight it
then click your Right mouse button and click on Move. Next you click on
the folio in the bottom left hand corner that you wish to move the
transaction to and you will receive a message asking you if you are sure
you want to move the transaction.
How do we
use Travel Agent Commissions?
Travel Agent details are input
under Travel Agents then Setup. Once you enter their details you can click
on the Commission button and enter the rate of commission you want
automatically calculated and allocate it to the appropriate Transaction
codes. In your case you have more than likely setup your Travel Agents
under Companies and Groups due to your desire to maintain two separate
debtors ledgers. This being the case then you would manually post a
negative Travel Agent charge to show commission amount and reduce expected
revenue.
Where can we enter Email and
Website addresses?
If you go into System - Comments -
Travel Agent, Group, Reservation, Unit etc. this will allow you to setup
the Title (IE: email address) of the field for each comment screen. You
then go into the Travel Agent, Company, Group, Reservation setup and put
in the email address.
Why does
the balance of a company, Group or TA transaction report not match the
balance on the statement or aging report?
The transaction
reports include totals for guest of any status - ie Checked In - the aging
reports and statements only show the totals for CheckedOut reservations
with a balance owing..
How do I reverse a TA
commission?
To negate a Travel Agent commission entry...go
to transaction codes and apply GST to the Travel Agent Charge...then go to
the applicable reservation and post a - Travel Agent charge for the
Total..the gst will automatically be subtracted and when you post the
adjustment.