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Account management
Thank you @LieraMarie_A for your quick response. This makes sense to me, but I have one follow-up question.
The amount received from the CC merchant is for six separate transactions from members paying their dues. That total equals $460 and then the fees ($191.63) are deducted and the balance is deposited to our account. I want to be able to track each individual members renewal in QBO, so do I create a separate invoice for each member (and what their renewal is) and then match all of them to the transaction when I do the review, and THEN resolve the difference?
Thank you again for your assistance and knowledge!