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This article will introduce you to control groups in Advantage, by showing you how to add and balance control groups. Additionally you can find information on control group statuses and IDs.

5 min read

Your control group is where all of your orders and modifications will go each day.  Users need to add a new control group whenever adding orders or performing order modifications, this can be done from several screensyour ribbon.

When you are completed for the day with your orders and modifications, you will need to balance your control group before exiting from Advantage. Balancing your control group releases everything you have done so it can be processed in the system with posting.


Table of contents

Table of Contents
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How to Add a New Control Group

  1. Control groups can be added in Advantage by clicking the 

Current
  1. Open Control Group button

on the bottom left corner of any of the major screens
  1. under the Orders section of your ribbon.

  2. Then click on the Add button on the right side of the screen

  3. The Control Group Maintenance dialog box will appear, complete the following fields:

Control Group ID

The ID associated with the batch being added. Generally this will start with C for Customer Service or T for Telesales, followed by a letter to represent your group and then your initials. If unsure what ID to use, see you manager.

Description

Description of what the batch is for. This is generally the user's name and type of transactions. For example, John's Orders or Sally's Credit Card Decline Payments.

Order Source

Identifies the source of the transaction. Generally this will be PHONE unless processing EMAIL or MAIL transactions.

4. Click Next
5. Click Finished
6. In the Open Control Group window, click Open

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How to Balance a Control Group

  1. From

any of the major screens in Advantage i.e. CTA, Order Entry, or Customer Search, click Image Removed
  1. your ribbon click the Open Control Group button under the Orders section of your ribbon.

    Image Added

    at the bottom of the screen

  2. Ensure your control group is selected and then

click Image Removed(this button is available by
  1. right-click

or via the ellipsis icon)
  1. over it and choose Balance and Release Control Group or click on

    Image Added

  2. When asked ‘Ok to release control group…’ select

    Image Modified
  3. Use the X to close out of the Open Control Group dialog box

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Control Group Status

Control groups can be in different statuses based on whether they are opened or have be balanced and released.

Open

The control group is in use. The name of the user involved is displayed on the view.

Balanced

Data entry has been completed and actual totals are balanced to expected totals where required.

Closed

No one is using the control group.

Unbalanced

The control group was balanced but has been backed down from that status so that adjustments can be made to the transactions involved. This is done using the UN--Unbalance function.

Posted

This status is not currently used.

Released

The control group has been balanced and transactions have been or will be handled by the relevant CIR and PRO processes.

Unreleased

The control group was released but has been backed down from that status so that adjustments can be made to the transactions involved. This is done using the UR0--Unrelease function. This function is not allowed if any of the transactions have been processed by CIR or PRO.

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Control Group IDs

Various naming conventions are used to identify control groups.  This is a listing of user control group ids.  

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Customer Service

Generally, Customer Service groups start with a C and Telesales groups with a T.


CA

Agora Financial in Baltimore, Maryland


CB

Bonner & Partners in Delray Beach, Florida


CC

Legacy Group in Delray Beach, Florida


CE

ECC in Waterford, Ireland


CG

Inversor Global in Santiago Chile


CI

International Living in Waterford, Ireland


CK

Merkle Email for NewMarket Health in Hagerstown, Maryland


CM

Money Map Press in Baltimore, Maryland


CO/TO

Oxford Club in Baltimore, Maryland


CQ

Tradestops in Brentwood, Florida


CS

Sovereign Society in Baltimore, Maryland


CT

TCC in Hunt Valley, Maryland


EC

EquityMaster in Mumbia, India


FC/FO

Fleet Street & Money Week in London, UK


PA

Publications Agora in Paris, France


PP

Port Phillip/Portner Press in Melbourne, Australia


SB

Southbank in London, UK


SW1

Sercogest


WS

Weiss

Online

OP

BB

BuyerBuild

EQM

Equitymaster in Mumbia, India

FSP

Fleet Street Publications in London, UK



MC

Opium

BHN

Best Health Nutritionals shopping cart for NewMarket Health

WMC


IL

International Living in Waterford, Ireland

NHS

Sercogest


NL

Northstar Nutritionals shopping cart for

NewMarket Health

NST

New Summit Nutritionals shopping cart for Institute for Natural Healing

shopping carts


PAF

Publications Agora in Paris, France

SF1

Sante

SW2

Sante Switzerland

YL

Real Advantage Nutrients shopping cart for NewMarket Health

SP1

Global Publishers Espana in Madrid, Spain

System

System generated control groups generally start with a Z.


ZERROR

Orders in error - various sources

ZAMB

Auto-Generated from AMB350 (AMB auto-renewal process)

ZBCL

Auto-Generated from Auto-Delivery process (BCL)

ZCA

Auto-Generated from CIR350 (Subscription auto-renewal process)

ZMBR

Auto-Generated from MBR350 (Member auto-renewal process)

ZPRM

Auto-Generated from MST391 (Premium auto-generated process)


ZW

Foundation Site


PPP

Port Phillip Publishing in Melbourne, Australia

Misc.



SA/SI

Publishing Services

14 West Support


CP

Chilean Dinero Mail Payments for Inversor Global Chile


QL

IVR Auto Renew Cancels

MD/ML


DMP

Mail orders entered from

Merkle in

DMP


SK

Sisk Returns in

Fredricksburg

Federalsburg, Maryland


QL

Automated IVR Cancels

FF

Fulfillment


Tip

Wrap up

You should now have a better understanding of control groups in Advantage

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Related Content

Understanding the Order Entry Screen

Read this guide

FAQs - Enter a Product Order

Read this guide

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