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Buy now & savethanks, IrizA, but not really that helpful. i know how to look at deposit details.
my question is why is QB constructing multiple deposit matches. again, with hundreds of line items in each deposit it is very difficult to identify what the distinction of each match is. if anyone in the community is running Square <> QBO integration and has daily deposits consisting of dozens+ (hundreds) of line items and you can share any tips and tricks on how you match/reconile those, i would appreciate input/guidance.
which leads to my second, unanswered question: in the Square connector app configuration, if i modify Transaction view to something other than "Individual transactions" (that is, some sort of daily summary), but continue to track items by item name, will QBO preserve the allocation to revenue accounts defined in the QBO Products &services catalogue?
thanks again.