Square Updarte
Dag - Since that last Square update...
It looks like I am going to have to start manually updating Square Deposits with Journal Entries - particularly since i am already completely missing two days' Square Payouts. Is there a training video anywhere that covers:
- Splitting the deposits among the various accounts
- Also - does Square simply match the text string in the Account Titles to determine which mapped accounts to allocate the deposit amounts? Is their any way to enter Account Numbers into the Square Settings Account Mapping?
Thank you,
Mike
This now seems to be a permanent addition to my Integrations window:
We're still importing transactions needed to complete payout processing. Please check back shortly.