Workflows & examples
1. Onboard a distributor
- Create the account in Distribution → Distributors with tier, terms, and credit limit.
- Assign a territory in Distribution → Territories and attach the right price list.
2. Run a van-sales day
- Open a session and record loaded goods in Distribution → Van Sales.
- The rep records sales (cash/credit) in the field.
- Close the session and reconcile quantities and cash. Invoicing and goods issue happen in Sales / Inventory.
3. Control channel credit
- Open Distribution → Credit to review each distributor’s outstanding balance.
- Review aging and export CSV; track exposure in Reports.