Element Reconciliation

Hi,

We recently switched from Transcend to Element and have found the reconciliation process to be impossible. On a monthly basis we reconcile Tessitura to our credit card deposits on the GL. The reconciliation issues are being caused by the fact that Element does not batch out at 2am like Transcend did, and the fact that they are in Central time zone, while we are on the East coast. So our credit card deposits never match Tessitura.

Does anybody have any suggestions or tips? How do other companies reconcile Tessitura credit cards with Element gateway?

 

Thanks!

 

Mario Rossi

Staff Accountant

Boston Symphony Orchestra

617-638-9491

 

 

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  • Hi Mario,

    We had similar issues when our consortium transitioned to Element.

    Others on the forum had suggested to us that we install the Element Reporting Utility (TASK solution #32) to assist with reporting and reconciliation. We're on RAMP and had them assist with the install, and have been happy with the added availability of information that it provides.

    The EPS Transaction Report that comes with the utility has a time offset as one of the parameters, which might help with the issue you're having.

     

    Stacey Voigt
    Database Manager
    Santa Barbara Center for the Performing Arts
    (805)899-3000 x128
    svoigt@granadasb.org



    [edited by: Stacey Voigt at 4:38 PM (GMT -6) on 15 Jun 2015]
  • Thanks! We will give this a shot.

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