How does transaction matching for payment providers work?
When Junipeer creates invoices, we attach a unique reference to each invoice.
When a payout or transaction report is received from your payment provider, Junipeer uses that reference to identify the correct invoice, mark it as paid, and post a write-off entry for the provider’s fees.
This flow is fully automated.
When a payout or transaction report is received from your payment provider, Junipeer uses that reference to identify the correct invoice, mark it as paid, and post a write-off entry for the provider’s fees.
This flow is fully automated.