Automated reconciliation of platform payouts through the accounting software integrations

Currently expected reservation payouts are pushed to the accounting software in an accounts receivable type asset account, which requires an additional reconciliation step from the host to link with the actual bank transaction that represents the payout from the platform.

In the future, we’ll allow hosts to connect their bank account so that we can automate the reconciliation process.

Please authenticate to join the conversation.

Upvoters
Status

Backlog

Board

πŸ’‘ Feature requests

Tags

Mogul

Date

About 1 year ago

Subscribe to post

Get notified by email when there are changes.