The session provides in-depth overview on Reconciliation, exploring topics such as:
- Accounting Exports (2:47 – 11:29)
- New Reports (11:30 – 22:29)
- Summaries & Credit Card Report (22:30 – 29:31)
- Deposit Handling & New Day Dashboard (29:32 – 40:23)
- Cardholder Names & Chargebacks (40:24 – 43:54)
- Statements, Filtering Data, Manual Settlements & Exports (43:55 – end)