Debiting a Partner’s Point Balance

The following procedure describes how to debit a partner’s point balance.

To debit a partner’s point balance

  1. Navigate to the Partners screen, Partner List view.

  2. In the Partners list, identify the partner company whose point balance you want to adjust.

  3. Click the Partner Name field’s hyperlink.

  4. Click the Partner Transactions tab.

  5. On the Partner Transactions list, create a new record, and complete the necessary fields. Some fields are described in the following table.

    Field Description

    Transaction Date

    Enter the date of the transaction.

    Program Name

    Enter the name of the program.

    Type

    Select Adjustment from the drop down menu.

    DR/CR

    Select Debit.

    Points

    Enter the amount of points to be debited from the point block.

    Note: Points entered as fees cannot exceed the points available in the selected point block.

    Point Block

    Enter the Point Block.

    Description

    Enter a description of the transaction.

Note: Once an adjustment transaction has been saved, it cannot be edited or deleted.