- Mark as New
- Bookmark
- Subscribe
- Permalink
- Report Inappropriate Content
Payments
There needs to be an update to accommodate this way of working. I would say the majority of e-commerce shops work in this way. You have a sale with "$X" which can sync to QBO as a Sales Receipt or Invoice and then you have a bank deposit with "$X minus fee" which can sync to QBO but they cannot be matched. I should just be able to balance the difference to my Bank Fees category. Come on.