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If you are a multi-terminal store owner, the Settlements Report can help you reconcile your daily batches and bank statements.
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To learn more about Settlements Reports, please visit Settlements Report FAQs |
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The Settlements Report consists of different financial events that aregrouped to reflect the estimated bank deposits. Each row represents a bank statement row and have:
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Once the user presses the row, the breakdown will be shown. Each second-level row represents financial activity. For batches, the batch ID will link to the batch details. The Activity date in this case is the date on which this batch has been batched out.
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