Hello everyone!
We are starting the transition from doing ticket reconciliation weekly to daily. For years we have we run a series of standard reports in conjunction with a very convoluted, complex spreadsheet. It doesn't work very well, and it can take a lot of time to find the issue if something doesn't match since we're going through so many orders.
Would anyone be willing to share their process: what reports you pull, your strategy, perhaps an Analytics dashboard?
We have a unique situation when it comes to ticketing. We do ticketing for an orchestra, but we also provide ticketing services (on contract) for a theatre that brings in presented shows from promoters. The revenue and fees from these two different entities must be separate. In addition, the fees for both kinds are slightly different. We have order based fees, percentage seat level fees, and flat seat level fees, but some of them differ based on MOS. Our challenge with Analytics is that fees are not directly tied back to a performance, so we can't report on them to reconcile in the Finance cube. And no, we can't put these fees into layers.
We have never reconciled daily, so any advice, strategies, widgets, reports, etc are appreciated! Thank you in advance!
Erin
Ticketing and Data Services Manager