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:
