Navigation: Charities > Dashboard > Income > Overview
In the Charities income overview section, you can see a breakdown for the following data:
Income Breakdown
Receivable Ageing summary
Income flow
Edit the period for how long you need the reports by using the custom date filter. You can also see a breakdown of the type of expenses inputted by using the filter in the income breakdown graph.
Navigation: Charities > Dashboard > Income > Invoices
Here, you can create custom invoices, you’ll need to include the following
Invoice number
Customer name
Account name
Currency
Fund name (for which the invoice is related to)
Product details
You can also link the invoice to a specific charity so you can keep track of how much the activity has generated and is performing through the reports
You can add the bank account, so the bank details auto populate into the invoice when sending it.
You have the ability to input receipts & attachments once product details have been inputted.
Navigation: Charities > Dashboard > Income > Recurring Invoices
You have the ability to create recurring invoices, this follows the same steps as the above invoices, but you can also choose the frequency of how often the invoice auto generates.
You can choose from daily, weekly, monthly, yearly or a custom time frame. You can choose when the invoice first generates by also setting an end date or selecting ‘never’ if you do not want the invoice to stop generating until you manually switch it off.
Navigation: Charities > Dashboard > Income > Quote
Quotes can also be created on Capium, they will need to include the same information as invoices.
You can also add the fund type & product information for quotes too.
Navigation: Charities > Dashboard > Income > Credit Notes
You can create credit notes for customers on the system and include the following data:
Product info across multiple lines
Add attachments for backing
Receipt allocation
Credit allocation
Additional notes
Navigation: Charities > Dashboard > Income > Receipts
Here, you have the option to manually create receipts in whichever method of payment was used, bank or cash and allocate to the relevant account code.
Add attachments for the receipts
Export receipts as PDF & edit them