Title: Navy Cash Training Disbursing Unit 4: Merchant Management
1Navy Cash TrainingDisbursing Unit 4Merchant
Management
2Objectives
- Explain how to set and enroll new Merchant
accounts. - Explain how to administer various merchant
accounts. - Demonstrate how to program a K22 for various
merchant accounts. - Explain merchant operations and procedures
- This presentation is UNCLASSIFIED
3Merchant Account Administration
4Terminology
- The term merchant is used to refer to parent
lines of accounting aboard the ship. Examples of
merchants are - Ships Store
- Post Office
- Vending Soda
- Vending Candy.
- The term operator is a person enrolled in Navy
Cash and assigned an operator ID who can then
sign in to a K22 to use it in retail operations.
5Merchant Enrollment
- Merchant accounts are preset when a ship is
enrolled in Navy Cash. - To add new merchant
- If line of accounting is not established, a bank
account is required. - E-mail www.navycashcenter_at_ezpaymt.com or call the
CSC - Go to the NC Disbursing website
www.navycashcenter.com and submit new account
information. - Each merchant is issued a designated NC card to
manage funds.
6Merchant Changes
- To change merchant accounts the DISBO contacts
the CSC to - Increase 3000 POS limit
- Increase 5000 MC purchase limit
- Change bank account information
- Merchant info (POC, phone number).
7Operator ID Maintenance
- In order to be an operator, a person must be
enrolled in the Navy Cash system. - Step 1 Select Operator ID Maintenance from DA
menu - Step 2 Click List Configured Operators to
verify operators - Step 3 Search using last name or SSN
- For generic operators (i.e. foreign merchants)
search by entering ships name under First Name
field (i.e. USS ENTERPRISE).
8Operator ID Maintenance (cont)
- Step 4 Press Search button to display a list
of possible matches - Step 5 Highlight correct name
- Step 6 Assign four digit Operator ID number
- Step 7 Check Add as Disbursing User if
applicable - Do not select a merchant other than Navy/Marine
Disbursing - Step 8 Press Submit
9Operator ID Maintenance (cont)
This example is to be used in conjunction with
the previous steps.
7
8
10Creating an Event
- Step 1 Select Event Maintenance from menu.
- Step 2 Choose merchant from drop down menu
- Step 3 Enter event description and expiration
date - Step 4 Click Update
- To make changes
- Highlight event
- Enter new information
11Creating an Event (cont)
Note
1
2
3
Note Selecting headings on title bar will
arrange information in ascending or descending
order
4
12K22 Programming
13K22 Custody
- DISBO has the responsibility of verifying that
all K22s are correctly programmed. - DO maintains a locally prepared K22 custody log.
14K22 Modes
- Online - This means the K22 is attached to the
LAN in real time. It will operate in - Proxy K22 interacts with Disbursing Application
or the ROM II - Normal if used as POS other than Ships Store
(i.e. Post Office, CPO). - Offline - (Normal only)
- Not connected to a designated LAN drop (i.e. MWR,
money changers, foreign vendors) - Powered by batteries or adapter
- Connects to LAN
- log on/off
- upload data
15Offline K22s
- When using an offline K22 the following symbols
indicate - K22 is Offline
- ! K22 has transactions to be downloaded
- Download automatically begins when K22 is
plugged into the LAN drop.
Welcome to Navy Cash ! Timbuk, Too
- The downloading of information is complete when
the ! disappears. - Offline K22s may be turned off without losing
transactions.
16K22 Power On/Off
- Regardless of the K22 operating mode
- Hold down the green OK key until LED display
illuminates and displaying the software version
and Built-in-Test (BIT). - To turn off, hold down the small red CANCEL/OFF
key for 6-10 seconds until the screen turns blank.
Current Merchant WRDRM MESS DUES CRLCancel
OKChange
17K22 User Log On
- The following steps allow you to log onto a K22.
- Step 1 Connect K22 to a LAN drop (Online)
- Step 2 Power on K22
- Step 3 Type Operator ID when prompted
- Step 4 The K22 can now be used in either the
Online or Offline mode.
18K22 User Log Off
- The following steps allow you to log off a K22.
- Online
- Step 1 Press down small red CANCEL button
briefly - Step 2 Press the green OK button when prompted
to log off - Step 3 Press and hold down small red CANCEL
button for 6-10 seconds to power off. - Offline
- Step 1 Connect K22 to a LAN drop (Online)
- Step 2 Power on K22
- Step 3 Wait until the and ! disappear
- Step 4 Continue with the Online steps above.
19Programming a K22
- Step 1 Connect K22 to a LAN drop (Online)
- Step 2 Power on K22
- Step 3 Press 5 (admin mode) and enter password
- Step 4 Press 3 (State should be normal mode)
- Step 5 Select from Menu Options
- Press 1 to set Merchants
- Press 2 to set Event
- Press 3 to set Amount
- Press the green OK to return to Main Menu.
20Setting of Merchants
Current Merchant WRDRM MESS DUES
CLRCancel OKChange
- Step 1 Press 1 to set merchant
- Step 2 Press a function key
(F1, F2 or F3) - Step 3 Press green OK button to change or red
CLR button to cancel. - Step 4 Use the Scroll down button to select
merchant. - Step 5 Press green OK button
- Repeat steps 1-5 to program any additional
merchants.
Current Merchant WRDRM MESS DUES CRLCancel
OKChange
21Setting of Events
- Step 1 After merchant is set, press green OK
button to go to Main Menu. - Step 2 Press 2 key to set Event
(Event created via Disbo App) - Step 3 Press Function Key for merchant
- Step 4 Press Function Key to set event
Press a Function Golf Trip 7/1 Chess Match
8/5/01
Current Merchant WRDRM MESS DUES CRLCancel
OKChange
22Setting of Events (cont)
- Step 5 Scroll down to select
- Step 6 Press green OK button to confirm
selection. - Repeat steps 1-6 to program any
- additional events.
Press a Function Golf Trip 7/1 Chess Match
8/5/01
Current Merchant WRDRM MESS DUES CRLCancel
OKChange
23Setting Amount
- Step 1 After the merchant and event are set,
press the green OK button to go to Main Menu. - Step 2 Press 3 to program Amount
- Step 3 Select a function key
- Step 4 Enter amount
- Step 5 Press green OK button to accept or red
CLR button to cancel. - Repeat steps 1-5 to program additional amounts.
Set Amount Press a Function Key OK Menu
24Save Changes
- Press green OK button to save
- Press green OK button again to save any changes.
- The unit will immediately reboot itself whether
or not you save any changes.
Save Changes? OK Yes CLR No
25Merchant Operations
26Ships Store
- ROM II procedure stays the same.
- Till assignment disk data is uploaded to the
cash register. - Store operator then boots up K22 and logs on
using their 4-digit Operator ID, which matches
the Navy Cash operator ID. - K22s is ONLINE and in the NORMAL mode.
27Ships Store Daily Business
- Ships store operator scans items for purchase
and hits sub-total. - Customer inserts NC card and enters PIN.
- Ships store operator enters amount of sale on
K22. - Customer presses green OK button to approve sale.
- Operator hands the NC card back to customer after
successful transaction. - Operator then hits Total on the POS.
28Ships Store End of Day
- Operator
- Logs off and powers down K22
- Closes business IAW ROM II procedures
- Takes Till diskette back to Sales Office.
- Sales Officer
- Runs Navy Cash Merchant Sales Summary report
- Compares with figures from ROM II Till report
- Investigate discrepancies.
- MSO Detail report
29Ships Store EOD - ROM II Integrated
- Ships Store Operator
- logs off and powers down K22
- Close business IAW ROM II procedures
- Takes Till diskette to Sales Office.
- Sales Officer
- Create NC ROM II disk
- Logs on Disbo App and selects ROM II Reporting.
30Ships Store EOD ROM II Integrated (cont)
- Sales Officer
- Step 1 Click Load ROM II File button
- Step 2 Select OK
- Step 3 Select Generate
- Step 4 Select Print.
- Records keeper
- Investigate discrepancy
- Make adjustment
1
2
3
4
31Post Office
- K22 is in the ONLINE and NORMAL modes.
- Step 1 Postal Clerk (PC) logs onto K22 before
the start of business. - Step 2 Customer inserts NC card into K22 and
enters PIN. - Step 3 PC enters amount of sale on K22.
- Step 4 Customer presses green OK button to
confirm sale. - Step 5 PC hands back NC card after sale.
32Post Office End of Day
- PC logs off the K22
- Refunds are handled using USPS form 3533.
- PC prepares PS Form 1412-B
- DO provides Merchant Sales Summary to PC to match
against PS Form 1412-B. - PC sends PS Form 1412-B to servicing Postmaster
via email daily including negative balance
reports. - PC attaches Merchant Sales Summary to 1412-B and
retains in his records.
33MWR/Chaplain
- Onboard small ships, K22s are normally offline
and in the normal mode. - Where there is an MWR office, a K22 may be online
and in normal mode. - Disbo programs K22 for correct merchant before
issuing. - If there is an MWR event, the DISBO will program
the K22 for that event. - User signs out K22 on locally generated and
maintained custody log.
34MWR/Chaplain (cont)
- Operator logs on K22 at the start of business
using 4-digit Operator ID. - Customer inserts NC card into K22 and enters PIN.
- Operator keys in the Event Code (if programmed)
and presses green OK button. - Operator enters the sales total into K22.
- Customer approves the sale by pressing green OK
button. - Note The money is taken off the chip immediately
35MWR/Chaplain (cont)
- Operator uploads the K22 data before logging off
the system. - A K22 may be uploaded at any Navy Cash LAN drop
- Do provide MWR/Chaplain with the following
reports - MSO Detail Report (Disbo App Report)
- and/or
- Daily/Monthly Trans Detail Report (Shore Report).
36CPO/Wardroom Daily
- Operator logs on K22 at start of business
- Customer inserts NC card into K22 and enters PIN
- Operator presses correct function key before
entering sales total into K22 - Separate function keys for food and dues
- Customer presses green OK button to approve sale.
- Operator hands NC card back to customer.
37CPO/Wardroom Daily (cont)
- Operator uploads the K22 data (if offline) before
logging off system. - Treasurer records the NC collection in the
Record of Collection IAW existing procedures.
NC should be noted in parenthesis in the
Purpose field of entry.
38MWR/Chaplain/Private Mess Deposits
- Agent Bank deposits collection to designated
bank account IAW the following schedule - Transaction occurring
Deposited - 1st 8th
8th - 9th 15th
15th - 16th 22nd
22st - 22nd 28th
28th - ACH request made to FRB
-
39Foreign/Other Vendors
- DO issues a K22 with a generic account setup for
- Foreign Concessionaire
- Husbanding Agent
- Taxi Company.
- DO is responsible for all K22s using locally
generated and maintained logs. - DO is responsible for training vendors on general
use of the K22. - Use of a designated LAN drop to log on/off and
to download transactions into NC system.
40Foreign/Other Vendors (cont)
- Start of business day/port visit
- Replace K22 batteries (3 AA)
- DISBO logs on vendor using generic Operator ID
(i.e. user one, user two) - Vendor signs for K22.
- Sales
- Customer inserts NC card into K22 and enters PIN
- Vendor enters sales total into K22
- Customer presses green OK button to approve
- Vendor hands NC card back to customer.
41Foreign/Other Vendors (cont)
- End of business day/port visit
- Designated personnel uploads K22 data before
logging off vendor. - DO prints MSO Detail Report for vendor.
- Foreign vendor determines percentage with Sales
Officer (NEX/Ships Store/Merchants share) - Vendor settles with DISBO
- Vendor signs for check on locally prepared form
- DO prepares SF215 to offset check issue.
42Questions