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Snooker King · Snooker King: Complete Operator Manual

SST Report and Payment Settings

VYROX Wiki · Updated 23 September 2026 · https://www.vyrox.com/wiki/snookerking-sst-report-and-payment-settings

The Service Tax Working Paper in Snooker King gives your tax agent the figures needed to prepare a Malaysian SST-02 return, and checks them against the service tax account in your accounting software. The organisation's Currency, Rounding, Partial Payment and Payment Gateway tabs control how amounts are shown and rounded, whether a bill may be part-paid or left for later, and how the Fiuu online payment gateway is connected. These screens are used by owners, finance staff and accountants.

Before You Start

  • You need a Client, Organization or administrator account to open Organizations. Operators cannot see it.
  • For the working paper, you need access to Export to Accounting Software (owner level, or a manager with the Accounting tick under Setting Permissions). See Accounting Export and Tenant Sales.
  • Tax rates, service charge and LHDN e-invoicing are covered in SST, Service Charge and LHDN e-Invoice. This guide does not repeat them.
  • For Fiuu, you need a Fiuu merchant account and access to the Fiuu Merchant Portal.

Service Tax Working Paper (SST-02)

Service tax is charged when money is received, not when the bill is raised. A bill raised in one period and paid in the next belongs to the period it was paid in. The working paper is not filed for you; it is a working paper for your tax agent.

Running the Working Paper

  1. Go to Revenues, choose one centre, and under Export To choose Accounting Software.
  2. In the Export to Accounting Software window, scroll to Service Tax Working Paper.
  3. Enter Taxable Period From and Taxable Period To to match your SST taxable period.
  4. Press Run Working Paper.
  5. Review the sections below and pass them to whoever files your SST-02.

What the Working Paper Shows

SectionWhat It Means
RegistrationYour registration number, registered from date and taxable period (Monthly or Two Monthly), or a clear notice that you are not registered
Part B1: Value of Taxable Services by Service Type CodeOne row per service type code and rate, with Value of Service and Tax, as MySST needs
Part B2: Totals by RateValue of service and tax added up per rate
Item 13a: Deductions for Refunds and Credit NotesRefunds paid in this period against taxable services, with Value Refunded and Tax Deducted
Part D Item 18c: Exempted Taxable ServicesValue of exempted taxable services, less exempted value refunded in the period
TotalsValue of taxable services, service tax on that value, less tax on refunds, and Service Tax Payable for This Period
What Is Deliberately Outside the Taxable ValueService charge, goods sold, revenue not classified as a taxable service, bills still unpaid, and rounding
Reconciliation Against Your Service Tax AccountTax on the working paper (payment basis) against the tax account in your accounting software (accrual basis), with the Difference and the reasons for it
Registration Threshold MonitorFor each group, your values on the historical method (rolling 12 months) and the future method (next 12 months) against the registration threshold

A refund reduces the value in the period it is paid, never in the period of the original sale.

Warning

If you are not registered for service tax, no tax is payable and the figures are only a measurement. Do not show service tax on any customer document. Issuing a document showing service tax while not registered is an offence under section 21(2) of the Service Tax Act 2018.

Is Snooker Table Time Taxable?

On its own, no. Snooker, pool and billiards are not a named taxable service, so a club that only rents tables provides nothing taxable. Table time can still become taxable if a public house or beer house liquor licence brings the premises into Group C, or through a registered food and beverage operation under Group B. Group K rental from 1 January 2026 is a third, unsettled possibility. Which applies is your tax agent's decision. Nothing is treated as taxable until you say so in Service Tax Settings.

Recording Your Registration

  1. Under Service Tax Settings, find Registration.
  2. Set Status to Registered or Not Registered. Leave it as not registered unless RMCD has actually granted you a registration.
  3. Enter the Registration Number, Registered From and, if it applies, De-registered On.
  4. Choose the Taxable Period: Monthly or Two Monthly.
  5. Add any Notes for Your Accountant, then press Save Registration.
  6. Under Groups You Are Registered Under, choose the Group, the From date and, optionally, To (Optional), then press Add Group. A club can be registered under more than one group, for example Group B for the kitchen and Group C for the bar. Thresholds are measured per group and never added together.

Deciding What Counts as a Taxable Service

Under What Counts as a Taxable Service, add a rule for each part of your revenue your tax agent says is taxable. The most specific rule wins: a rule on a single item beats a rule on its account, and a rule on an account beats a rule on the revenue type.

FieldWhat It MeansExample
Applies ToRevenue Type, Account or Single ItemAccount
TreatmentNot a Taxable Service, Taxable, Exempt Taxable Service or GoodsTaxable
GroupThe service tax group, or NoneC
Service Type CodeThe RMCD service type code. Required for a taxable rule, because Part B1 is filed by that codeFrom your tax agent
Rate PercentThe service tax rate8
In Force FromThe date the rule takes effect2026-01-01
What You Call ThisYour own name for the ruleBar drinks

Press Save Rule. Saving a new rule for something that already has one does not overwrite it: the old rule closes the day before the new one starts, so a return you have already filed is never restated.

Warning

Removing a rule deletes its history. Only remove a rule entered by mistake. To change a rate or treatment, save a new rule with a new In Force From date instead.

Opening the Organisation Settings

  1. Go to Organizations in the top navigation and edit your organisation.
  2. Choose the tab you need: Currency, Partial Payment, Rounding or Payment Gateway.
  3. Make your changes and save the organisation.

Currency Tab

FieldWhat It MeansExample
Currency CodeThe currency, chosen from a searchable listMYR
Currency SymbolThe symbol printed with amountsRM
Display AsSymbol or CodeSymbol
Symbol PlacementBefore Amount or After AmountBefore Amount
Decimal Places0 to 32
Use Thousands SeparatorYes or NoYes
Rounding PrecisionThe step the grand total is rounded to, from No Rounding up to 100.000.05

For Malaysian centres, a Rounding Precision of 0.05 matches cash rounding to the nearest 5 sen.

Rounding Tab

The Rounding tab decides which payment methods apply the rounding adjustment. Unticked methods show the exact amount. The precision itself is set on the Currency tab.

OptionWhat It Covers
CashPhysical currency
CardCredit and debit card
e-WalletMobile wallet payment
Bank TransferOnline bank transfer
CreditsMember account credits

Rounding Tolerances

Leave both on Automatic (blank) unless you have been asked to change them. Automatic follows the number of decimals your currency uses.

FieldWhat It Means
Absorb Small Differences up ToWhen a bill's lines add up to slightly less than the bill, a difference this size or smaller is tidied onto a line as rounding. A larger difference is shown as its own labelled line
Allow Invoice Edits When Lines Differ by up ToWhen lines on a bill are edited, the bill is re-added and checked against its totals. A difference this size or smaller is accepted; a larger one is refused so a wrong amount cannot be saved

Partial Payment Tab

When partial payment is on for a transaction type, the operator can enter a pay amount less than the grand total, and an outstanding invoice is created for the balance.

OptionWhat It Allows
Count UpPart-payment of hourly or open-ended table sessions
Count DownPart-payment of package-based timed sessions
Count Up - Pay LaterFree the table with the count up bill left outstanding. It shows under Receivables to settle later
Count Down - Pay LaterClose an unpaid count down and free the table, recording an outstanding invoice
Point of SalePart-payment of standalone POS transactions
Food & BeveragesPart-payment of F&B orders

Tip

Outstanding balances are settled later from the invoice. See Invoices and Refunds.

Payment Gateway Tab

The Payment Gateway tab connects Fiuu for card, FPX, e-wallet (TNG, Boost, GrabPay, ShopeePay) and DuitNow QR payments. Fiuu has three independent features. Fill in only the ones you use.

  1. Tick Enable Fiuu Payment Gateway. This turns on all three features; each still needs its own credentials.
  2. Fill in the section for each feature you need (below).
  3. Press the section's test button to check the credentials.
  4. Save the organisation.
  5. On the Payment Methods tab, make sure Fiuu is ticked so it appears at checkout.

Fiuu Online Checkout (HPP)

FieldWhat It Means
Merchant IDYour Fiuu merchant account ID, shared by all three Fiuu features
Integration EnvironmentSandbox (Testing) for practice with no real money, or Production (Live) for real customers
Integration Verify KeyFrom the Fiuu Merchant Portal under API Credentials
Integration Secret KeyFrom the same place

Press Test Credentials. In the Fiuu portal, also switch on Instant Payment Notification on the end points and activate the payment channels you want; only activated channels appear at checkout.

Fiuu Offline Payment API (OPA)

This powers Scan Customer's QR, where your cashier scans the QR shown in the customer's e-wallet app. Enter the Store Application Code and Store Secret Key from Store Management in the Fiuu portal, then press Test Connection. If the test reports 40104, the credentials are correct but a channel (such as DuitNow QR) still needs activating in the portal.

cloudECR (Fiuu VT+ / Physical POS Terminal)

This powers Process via Fiuu VT+ App, charging a card on a physical Fiuu VT+ terminal. It reuses the Merchant ID and environment from the Online Checkout section.

FieldWhat It Means
cloudECR Account IDThe account ID issued when you create an API account for POS under cloudECR in the Fiuu portal
Device / Virtual Terminal IDThe unique ID of the terminal bound to that account
PasswordThe permanent password you set for the account
cloudECR Secret KeyThe secret key shown on the cloudECR page
Signature ModeSort by Parameter Name (Default) or Fixed Parameter Order. Leave the default unless Fiuu tells you otherwise

Press Test Connection. It should report the connected VT+ device.

Warning

Gateway keys give access to your payments. Saved keys are never shown again: leave the masked value to keep a key, type a new one to replace it, or empty the field to remove it. Never send keys by chat or email. Use Production (Live) only when you are ready to take real money.

Frequently Asked Questions

Does Snooker King File My SST-02 for Me?

No. The Service Tax Working Paper gives your tax agent the figures for the return and the reconciliation. Filing is done by you or your agent in MySST.

Why Does the Working Paper Differ from My Accounting Software?

The working paper uses the payment basis, when money is received, while your accounting software's tax account is on the accrual basis. The reconciliation section lists the reasons for the difference; anything it cannot explain is worth checking.

Why Is No Tax Shown on the Working Paper?

Either your organisation is recorded as not registered for the period, or no rule marks any revenue as taxable. For a club that only rents tables, that is usually correct.

Why Is a Cash Total Rounded but a Card Total Is Not?

Rounding applies only to the methods ticked on the Rounding tab, at the precision set on the Currency tab.

Why Can't the Operator Take Less Than the Full Amount?

Partial payment is off for that transaction type. Tick it on the Partial Payment tab.

Why Is Fiuu Not Showing at Checkout?

Check that Enable Fiuu Payment Gateway is ticked, the credentials pass the test, Fiuu is ticked on the Payment Methods tab, and the channels are activated in the Fiuu portal.

Related Guides

  • SST, Service Charge and LHDN e-Invoice
  • Accounting Export and Tenant Sales
  • Centre and Organisation Setup
  • Checkout and Payments
  • Invoices and Refunds
  • Revenues and Reports