The 'Return Money' screen allows you to return money for payments on a client's account.
Details
To return money to a Client, enter the Accounts Screen and select the 'Return Money' button.
The Return Money Screen consists of three tabs: 'Payments for Returning', 'Return Money for Negative Balances' and 'Return Money for Positive Balances'.
Payments for Returning tab
To access this tab, enter the Client's Accounts Screen and select the tab labelled 'Return Money'.
This screen displays all payments made by the selected Client.

Returning a Payment
To return a payment follow the steps below:
- Select the tick box in the column called 'Refund' for the payment/s you wish to return.
- The total amount being returned is shown in the 'Return Amount' field.
- Select the Return date (this will default to today's date).
- To return the payments select the 'Return Payments' button
- The payments will be returned and a transaction line will be added to the Clients Account.
Return Money for Negative Balances tab
To access this tab, enter the Client's Accounts Screen and select the tab labelled 'Return Money for Negative Balances'.
This tab is used for returning money to a Client who has a negative balance (in Credit) without allocating the return to a particular payment.
For example:
Client is owed £20.
Practice use Return money for negative balance for £20
Client’s account is now back to £0
Returning Money to a Client with a Credit Balance
- Specify the Date, Payment Method, VAT Code and Total amount.
- Enter a description for the payment being returned. The Credit Balance total is pre-populated, this is the amount being returned to the client.
- Select the Return Payments button
- The payments will be returned and a transaction line will be added to the clients account.
Return Money for Positive Balances tab
For Example:
Client pays £10
Return money for positive balance for amount of £10
They still owe £20.

Returning Money to a Client with an Outstanding Balance
- Specify the Date, Payment Method, VAT Code and Total amount for the payment being returned to the client.
- Enter the Description for the return.
- Select the Return Payments button.
- The payments will be returned and a transaction line will be added to the Clients Account.