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OLD Bank Reconciliation Format
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The POS then passes the amount to be paid to the Tyro software which passes it to the Tyro Cloud which puts it onto the device (so internet connection is required) The user swipes the EFTPOS or credit card - Tyro then tells the tyro cloud to update our POS with the transaction reference, amount etc and the system then completes the transaction Tyro pays all the money for a day in a single payment (except AMEX which is paid directly by AMEX). To see these amounts - use the separate AMEX flag on the bank req. |
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If the totals are not the same as deposited or reported by Tyro - right click to open the batch an investigate all transactions involved Clearing CC Batches in OLD Bank Statement
Although the payments are grouped together - we have found that the credit card gateways frequently send a different $ amount to what we would expect based on the payments sent to them.
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If the amount they deposited is not the same - you will have to go through the statement they provided and tick off individual transactions on the bank statement so you know which transactions have cleared. |
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See Bank Reconciliation - Statement centric - uploaded and remembered bank statement lines for reconciliation instructions |
Payments from/to Debtors and Payments to/from Creditors and bank accounts
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