Skip to main content

Wild Apricot Payments Reconciliation

Access our comprehensive Wild Apricot reconciliation guide to learn reporting best practices, bank statement matching, and transaction fee estimation.

To simplify your accounting processes, AffiniPay has developed a dedicated reconciliation guide specifically for Wild Apricot users. This resource is designed to streamline how you track funds and manage your books.

What’s Included in the Guide?

  • Reporting Capabilities: An overview of the different reporting tools available in your dashboard.

  • Bank Reconciliation: Best practices for matching your AffiniPay records with your monthly bank statements.

  • Fee Estimation: Clear instructions on how to estimate processing fees for individual transactions.

Download the Resource

Click the link below to access the full PDF guide:

Did this answer your question?