Trevor2
3 years agoContributing User
Reconciliation of Square Invoices
We have just introduced a Point of Sale system through Square and intergareted the system with MYOB via Amaka which will result in a daily sales invoice being created in MYOB. As we only do our banking on a weekly basis one deposit will show up on Bank Feeds. Is it possible to apply funds to the individual invoices through babk feeds. If not what is the best way to apply payments against these invoices. I imagine their are many other MYOB clients who operate POS via Square and have the same problem.