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January 2019 - last edited January 2019 by Haydes
January 2019 - last edited January 2019 by Haydes
Just recently purchased the square POS and I'm not sure how I intergrate it with my MYOB software. There doesn't seem to be any instruction for it
Thanks
Solved! Go to Solution.
January 2019
January 2019
Hi @mki, this page from Square's Australian website lists the accounting products that Square has integrations for, at time of writing. Unfortunately no MYOB programs are listed.
Regards, Mike (mike@datawise.co.nz)
DataWise Limited (www.datawise.co.nz), developers of:
DataWise ProActive - Custom Reporting from MYOB programs
(MYOB Business, including AccountRight Live, AccountRight v19.x and exo Payroll)
Bulk download of attachments (more details...)
January 2019
January 2019
Hi Mike
I've actually contacted Square and you can intergrate MYOB but they have to send you a link and it's done through a third party. A bit fiddely but at least we can still use it
January 2019
January 2019
Hi @mki
Out of curiosity, could you post a link to that third party here at all? It might help others who also search for the same information.
Cheers,
Hayden
MYOB Product Team
Currently Working On:
Supplier Feeds | E-invoicing
In Tray
Previously Worked On:
MYOB Capture App | MYOB Invoices app
MYOB Support (2015-2019)
January 2019
January 2019
January 2019
January 2019
Great thanks @mki!
I've marked your post as the solution so that this can be picked up easily when others search for this information.
Cheers,
Hayden
MYOB Product Team
Currently Working On:
Supplier Feeds | E-invoicing
In Tray
Previously Worked On:
MYOB Capture App | MYOB Invoices app
MYOB Support (2015-2019)
February 2019
February 2019
April 2019
April 2019
Hi StreamLending, out of interest how do you go about reconciling the synced transactions with Bank Feed for example?
May 2019
May 2019
Hi @mki @Haydes @Mike_James ,
In addition to the setup guide https://amaka.io/help/guide/square/myob, you can create a ticket in our service desk for further assistance and if you encounter any issue with the with integration. Here's the link - https://5andhalf.atlassian.net/servicedesk/customer/portal/10
May 2019
May 2019
Hi @bathurstshow,
The integration syncs the payment that appears on the Square reports and sometimes, there might be a difference with the actual deposit so we normally suggest using clearing accounts. You can reconcile the actual bank feeds to these clearing accounts and just create a journal entry to account for any variance.
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AL6
3 weeks ago
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