This reconciliation settlement report displays the net amount to be settled for the reconciliation period. The net amount is the sum of transactions that are found in the Reconciliation Detail report.
Things to know:
- Reconciliation is only settled if both locations have ACH accounts
- If any ACH account fails, the franchise (parent) reserve bank account (if provided) will be used. However, if there is no reserve account or if the reserve account also fails, payouts from the pool are halted until all funds are successfully received.
- If the reserve bank account is used for a debit, this will be reflected in the ACH Reserve Account column.
- If reconciliation settings are adjusted mid-cycle, all unsettled tickets will be recalculated according to the updated settings and included in the next settlement. For example, if the settings are changed after one week during a two-week reconciliation period, the system will update all outstanding tickets to align with the new parameters, such as rate or settlement duration.
- During the reconciliation settlement process, an additional $0.15 fee is applied to the debited location. However, this amount is reimbursed by MyTime when the reconciliation subscription fee is charged. As a result, the reconciliation subscription charge is adjusted to $4.85 instead of the standard $5.
To access your Reconciliation Settlement Report:
- Navigate to Dashboard
- Select the Reports tab
- Under the company section, select the Reconciliation Settlement Report
When the report opens, you can filter to your preferred date range and then click on the UPDATE button to generate the data. On the top right of the report, you have the option to download the report as a CSV, PDF, or print version.
Report Columns
Column | Description |
UUID | The universally unique identifier of the settlement payment |
Start Date | The start date of the pay frequency |
End Date | The end date of the pay frequency or the date the settlement was run |
Owner | The locations for the reconciliation settlement |
ACH Amount | The total reconciliation amount that was transferred or deducted |
ACh Fee | Displays the ACH fee that was charged for the transfer of the reconciliation settlement |
ACH Date | Displays the date the ACH was successfully charged. The date will only appear here if the transaction was successful |
ACH Status |
Displays the status of the reconciliation settlement
|
ACH Attempt Date | The date the settlement was attempted will be displayed in this column. If the transaction is declined or remains pending, the date will stay in this column. Once the transaction is successful, it will move to the ACH Date column. |
ACH Error | The error message received when the transaction declines |
ACH Reserve Account | Indicates whether the reserve account was utilized |
For more information, contact us at support@mytime.com or (385) 233-6964.