Follow the steps below to create payment reports filtered by fee type in order to reconcile payments in your accounting software (such as Quickbooks). 


  1. In the Reports & Exports menu, click on the Transactions Report menu item.

  2. On the next screen you’ll see a list of all payments, organized by date. Use the filtering tools at the top of the screen to specify the criteria you need for your report. For example, set the date range to the last 7 days if you reconcile your accounting weekly.

  3. Fee types: To update your accounting software with lump sums of revenue categories, filter your reports by Fee Types. For example, filter by Guest Fees in order to see the revenue collected for just that fee type in the date range you specify. You can then simply add that lump sum in your accounting software, rather than enter each individual guest credit purchased, since that information is already tracked in Member Splash.