Enter a New Associate(Agent)

Enviromint Support -

Contact Finder – search for the associate, if they are not in the system, select New Individual

1. Contact tab:

  • Enter their contact information – name, address, and phone numbers (or verify if they are already in the system).
  • Roles – select the Roles menu item, if Agent does not already have a check beside it, click on it
  • Save

2. Relationships tab:

  • Verify that they don’t already have a brokerage relationship with your brokerage.  If not, set the filter to your Brokerage; click on the + at the bottom of the grid to add a new relationship.
  • Verify Start Date is equal to when the associate joined the brokerage (or if they have a dal entered in the system, the relationship start date matches or is before the Sale Date of that deal).
  • Complete all of the columns with the associate’s information
  • Save

3. Accounting tab:

Customer tab:

    • Create a new Customer Account in the Operating/General Fund for Agent Billings by hitting the (+) button in the account grid
    • Set Fund = Operating/General
    • Enter the associate’s GST number in the Tax Number field
    • Verify Default Tax Group & Default Payment Method are correct
    • Close & Save

Vendor Tab

    • Create a new Vendor Account for the fund that Commission Cheques are written from by hitting the (+) button in the account grid
    • Set Fund = Commission or General
    • Enter the associate’s GST number in the Tax Number field
    • Verify Default Tax Group & Default Payment Method are correct
    • Close & Save

A Second Vendor account will need to be created if your brokerage operates with 3 funds and you transfer your Agent Deduction Savings Accounts from your Commission fund to your Operating/General Fund.

    • Create a new Vendor Account in the Operating/General Fund for the fund that Commission Cheques by hitting the (+) button in the account grid
    • Set Fund = Operating/General
    • Enter the associate’s GST number in the Tax Number field
    • Verify Default Tax Group & Default Payment Method are correct
    • Close & Save

4. Actions:

Deduction Rule Maintenance:

    • Click on the Actions button
    • Choose Deduction Rule Maintenance
    • Select Deductions that are applicable for the associate
    • OK

 Customer Invoice Schedule:

    • Click on the Actions button
    • Choose Customer Invoice Schedule
    • Add monthly billing Items, verify Start Month & End Month and Amounts
    • Save and Close

 

 

** If your Agent is Incorporated, you will need to follow the steps in the link below:

How to make an Agent Incorporated

 

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