Wire Service Reconciliation

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If necessary, you can also [[Editing Previous Wire Reconciliation Batches|edit previous batches]].
If necessary, you can also [[Editing Previous Wire Reconciliation Batches|edit previous batches]].
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[[FTD Mercury Documentation|Back to FTD Mercury Documentation]]

Current revision

Wire Service Reconciliation verifies that you are either paying the correct amount of money to or receiving the correct amount of money from the wire services to which you subscribe. Automatic and manual reconciliation allow you to compare the data on your monthly Combined Report to the orders in FTD Mercury.

Regardless of whether you use Automatic Reconciliation or Manual Reconciliation, you have three main options when reconciling your statement:

Option When to Use
Reconcile If you want to match an order on your Combined Report to one in your Message Log because all of the order information matches between these two sources.
Dispute If you have been billed for the wrong amount or billed in error and wish to create an ADJustment Message.
Unmatch Clears the reconciled or disputed status.


If necessary, you can also edit previous batches.



Back to FTD Mercury Documentation

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