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This is the
Reservations FAQ page - click on a link below to go to other FAQ
pages.
Reservations
Where is my guest history
stored? (names and addresses)? Your guest history is stored
in a table called Guest. All the names and addresses are there. If you
wish to do a mailmerge to all of them, you may export the data using
Access97. Instructions for exporting your data using Access97 and
Mailmerging with MSWord can be found on:
If you accidentally put the
date forward too many days, can you somehow get it back to the correct
date? As long as you do the Tools Backup just prior to
rolling day you can then Restore back to the correct day.
Can
reservation detail page be printed and used as a Registration
Card? Yes, but not in RezBook. You can press Alt & PrtSc keys
simultaneous then open MSWord and choose Paste. You can then create a
reservation card and save it as a template so that you can use it for all
your guests to sign.
With Amex, Diners, Motorpass etc. we receive a cheque less
commission a couple of weeks after Guest has departed. How can we keep
track of the outstanding amounts that haven't been paid? You can
set these Credit Cards up as Company's. You should first set-up each
credit card as a Company, then make a Reservation for each of them
ensuring they are showing in the Company field of the Reservation Detail
screen. Check them in and then check them out the same day so they
disappear off the grid. If you need to post a charge to the credit cards,
you go to File then Find Guest. Search and Show the Credit Card
reservation and post the necessary transactions.
I have a guest staying first
night free second night half price, how do I do
that? Manually. Unless you set up a rate plan which is:
1nite FOC, 2nite 1/2 price and enter the charge to be posted only once in
2 nites.
How
can we alter the content of Reservation letters? Click on System
then Letters. Once in the Letters screen click on the drop down arrow in
the Letter field and choose the letter you wish to alter. Make changes and
be sure to click Save before exiting.
Comments
box doesn't work? You first need to setup the Header or
Title of the comment in System-Comments - Travel Agent, Group,
Reservation, Unit etc. You then go into the Travel Agent, Company, Group
or reservation setup and put in the comment.
How
do we credit Amounts eg: Discounts, Over Charge or mistakes? All
incorrect postings should be posted exactly the same way again only with a
minus sign in front to zero out the incorrect posting. Discount should be
set-up as a Transaction Code and posted as a negative charge.
Deposits for Reservations in
Advance - A Guest has made a Reservation, then sends a deposit. What do we
do? Find the reservation, click the 4 dots next to Guest
name and enter deposit details. This information is stored in Guest
History, and will be used to send out the deposit confirmation letter if
you have one. Then post a Payment choosing Advance Deposit as the Payment
Type - this will then be recorded in the days banking total. The
reservation will now show a negative balance until the person checks in
and the advanced deposit moves from the advanced deposit ledger to the
in-house guest ledger.
What does "Do you want to
post the payment to tomorrows date?" mean? If you go to the
bank daily, and you want your Banking Report to match your deposit slip,
you use this functionality. Before you go to the bank you answer "NO" I do
not want to post to tomorrow. When you return from the bank, you answer
"YES".
What is the correct way to
process a cancellation where an advance deposit has been
made? There are two ways this would happen...
1. The Reservation is
cancelled and the whole deposit refunded to the client 2. The Reservation is cancelled
and some or all of the deposit retained by you
Procedure for 1.
above Call up the Advance Reservation - Click on Payment - call up the
payment type of Advance Deposit - Delete the amount that defaults in the
box (very important) - type in the amount of the deposit being refunded
with a - sign in front. Choose the method of refunding - cash, chq etc -
then post. The Balance of the reservation should be Nil - and you can
cancel the reservation and the amounts will be removed from the Advance
Deposit Ledger.
Procedure for 2.
above Call up
the Advance Reservation - Click on Charge - and make a charge for the
amount of the cancellation fee - use Forfeited Advance Deposit - this will
include GST which is correct. - Post this. Then use the method above to
refund the balance of the Advance deposit - ensuring that you delete the
amount that first appears in the box and overtype it with the negative
amount required to finalise - then Post and cancel the
Reservation.
Using the above
methods should ensure that the Advance Deposit Ledger remains
correct.
What is the Guest Refund
Charges code used for? Why isn't it a Payments code? There
are two ways that you may need to process a Guest Refund - one is that the
guest has been charged too much and you wish to reduce the amount they are
liable to pay - the other is that the guest has paid too much and you
actually want to physically refund them some money.
In the first instance
- you need to reduce your revenue accounts by the amount of overcharging -
here we use the charge code for Guest Refund - and enter a negative amount
- this reduces the balance owing on the Guest account and also reduces
your revenue. The Guest Refund charge code also should have GST assigned
as you will want to reduce your liability for GST when you credit the
Guests account.
In the second instance
- on the day that you physically refund the guest - either with cash or
by posting a refund on their credit card with your EFTPOS facility - you
need to use a Payments code for Guest Refunds - and enter a negative
amount - this reduces the cash or credit card totals you have for this day
and reconciles your banking.
In the case of an
overcharged guest who has already paid their account - you need to do both
of the above - firstly use a negative Guest Refund charge amount to reduce
the amount they should have paid, which would put their account into
credit - then use a negative Guest Refund payment amount to physically
return the money to them.
Having both of these
transaction codes call Guest Refund might be confusing to your staff -
consider setting up a new Payment transaction code called Guest Refunds
Paid.
you go to the bank
daily, and you want your Banking Report to match your deposit slip, you
use this functionality. Before you go to the bank you answer "NO" I do not
want to post to tomorrow. When you return from the bank, you answer
"YES".
What is the Guest Refund
Charges code used for? Why isn't it a Payments code? There
are two ways that you may need to process a Guest Refund - one is that the
guest has been charged too much and you wish to reduce the amount they are
liable to pay - the other is that the guest has paid too much and you
actually want to physically refund them some money.
In the first instance
- you need to reduce your revenue accounts by the amount of overcharging -
here we use the charge code for Guest Refund - and enter a negative amount
- this reduces the balance owing on the Guest account and also reduces
your revenue. The Guest Refund charge code also should have GST assigned
as you will want to reduce your liability for GST when you credit the
Guests account.
In the second instance
- on the day that you physically refund the guest - either with cash or
by posting a refund on their credit card with your EFTPOS facility - you
need to use a Payments code for Guest Refunds - and enter a negative
amount - this reduces the cash or credit card totals you have for this day
and reconciles your banking.
In the case of an
overcharged guest who has already paid their account - you need to do both
of the above - firstly use a negative Guest Refund charge amount to reduce
the amount they should have paid, which would put their account into
credit - then use a negative Guest Refund payment amount to physically
return the money to them.
Having both of these
transaction codes call Guest Refund might be confusing to your staff -
consider setting up a new Payment transaction code called Guest Refunds
Paid.
you go to the bank
daily, and you want your Banking Report to match your deposit slip, you
use this functionality. Before you go to the bank you answer "NO" I do not
want to post to tomorrow. When you return from the bank, you answer
"YES".
If someone wants to check in
and immediately pay the full balance, how is this
handled? From the reservation screen, you pull up the charge screen and post
the entire nightly charge upfront, click in payments and post the payment,
you come back to the reservation detail screen and zerio out the
nightly charge field so it doesn't post another nightly charge for
the entire stay. Save the reservation and click yes to having the guest
stay for free (what this message reallymeans is - "I'm not showing
any nightly charge to automaitclaly post, are you going to take
care of this?")
How can I take data on
people's flight details to and from the airport? The way
you set this up in RezBook is to go into System - Comments - Reservtion.
The first header entered shows on the Arrivals report. So make this header
: Arr/Deprt Time, then double click on a reservation - click on the
Reservation Comments button near the bottom of the screen and enter their
arrival or departure time. Save the reservation and go to Reports. When
you bring up an arrivals report for this arrival date, you will see the
arrival time in the last column on the report.
How do you get the balance
to be 00.00 and not a negative amount when the guest pays up front and you
want to print a receipt? You create a "check in" letter and
print a letter instead of a folio...a folio is a checkout letter
basically. Users should go to System-Letters, create a NEW letter, name it
checkin or deposit receipt. Enter text in the 3 paragraphs as required and
make sure to click in the box "Reservation Detail" so that the finances
come up in the letter. Save the letter and select it from the reservation
screen after posting the payment.
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