Sales Analysis Settings

Sales Analysis Settings

Microhouse Sales Analysis settings are managed by going to the SettingsOrder Entry Options, Integration2 page, then clicking the "Configure Microhouse Integration Providers" button.



  • Use Microhouse Sales Analysis: Check this option to enable the Microhouse Sales Analysis screen. This replaces the standard Costar Sales Analysis screen.
  • Use Document Product Type: Check this option to use the Product Type analysis used when the document was created.
  • Use Document Sales Person: Check this option to use the Sales Person instead of the Written By on the Statistics page

Branch Settings

  • Refresh On Open:
  • Show Branch Criteria on Open:
  • Branch criteria Password:



 

Manufacturers: Select Manufacturers to display them on a separate sales line. Non-selected Manufacturers are combined together.



 

Sales Groups: Costar Product and Service items can be assigned a Sales Group. In this form you can..

  • Assign a Category to a Sales Group
  • Change the sequence that a Sales Group is displayed by moving (dragging) the row up or down.



 

Special Items: Assign a Sales Group and/or Category to a Special Item.



 

Territories: Assign a customer territory to a Branch.



 

Specifics: Select the Customer Specific Codes to display sales data for.



 

Budgets: Select the Branch and Fiscal Year, then enter Budget Exp. for either Monthly or Daily.




Default Trading Days: Select the days that the business normally trades on.

If you have any queries regarding Sales Analysis Settings in COSTAR, please contact the Support Desk.
    • Related Articles

    • Sales Analysis Overview

      The Sales Analysis dynamically displays COSTAR sales data providing a comprehensive analysis of Order Entry sales documents. The default page displays Product, Service, and Special Item sales. The Statistics page displays Sales Type (Cash or ...
    • Cost of Sales in COSTAR

      This help file explains how the Cost of Sales (COS) is calculated in COSTAR and attempts to explain how this may be different to other systems. In a nutshell, the COS General Ledger code is updated when inventory is sold and it is affected by the ...
    • Sales to Finance Companies

      This help file outlines how to process sales to customers that are paying via a finance company. It applies whether the total of the invoice is going to the finance company or the customer may be paying for part of it. Setting up the Finance Company ...
    • Taking a Deposit on an Order Entry Document

      Taking a Deposit on a Repair Order  If your customer pays a deposit for a job, the transaction needs to be recorded in COSTAR. On the Repair Order add the code DEP and the amount that they have paid. COSTAR will change this value to a negative amount ...
    • 4 for 3 Promotion (Purchasing & Selling)

      From time to time Suppliers will offer a promotional campaign for consumers to purchase three tyres and get the fourth tyre at no cost (FREE!). This document outlines the setup and operational procedures that should be followed so you properly ...