11-16-2020 07:09 AM
Solved! Go to Solution.
11-16-2020 07:21 AM
Batch your invoices separately from payments. And make a separate batch for each payment type. One Batch for daily bank deposit of cash & check payments. Another batch for mobile check capture deposits. Another batch for credit card deposits. For ease in reconciling your bank statement at the end of the month, make sure your payment batches equal the daily deposits from these kinds of payment methods.
11-16-2020 01:43 PM
Carrie is right on
11-16-2020 07:21 AM
Batch your invoices separately from payments. And make a separate batch for each payment type. One Batch for daily bank deposit of cash & check payments. Another batch for mobile check capture deposits. Another batch for credit card deposits. For ease in reconciling your bank statement at the end of the month, make sure your payment batches equal the daily deposits from these kinds of payment methods.