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SmartPay Merchant Statements

Examples

Matt Kesby avatar
Written by Matt Kesby
Updated over a week ago

Merchant Statement are issued monthly (same as most eftpos suppliers).

The above approach is similar to most EFTPOS facility suppliers in Australia.

Therefore merchant are likely to follow their standard processes for reconciling:

  1. Use the End of Day Report from the Terminal to reconcile with POS

2. Use the End of Day Report from the Terminal to reconcile with bank account settlement

3. Use the Monthly Merchant Statement to confirm settlements from the past month

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