Reconciliation Help

Hi Everyone!

 

I've not been with the Scottish Ballet (or using Tessitura!) for very long but our finance team have a big problem and I can't find an obvious way to help them, I was wondering if anyone else could help?

For reconciliation (which we do at the end of each month) we need to know the Payment Type for each transaction so that our finance team can reconcile what money has come in from visa etc. This is currently done by having two main batch types: credit/debit card and Cash/cheque. This is of course very inefficient and cumbersome for users so they often forget to switch batch when in a busy sale period.

Is there a report that will give our finance team esentially the same information as the Posting Report but with the Payment Type information also present?

Thank You in advance!

Parents Reply Children
No Data