This article will show you how to reconcile Windcave to Lightspeed.
Step 1. Open all registers for the date. Open to full details
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Step 2. Open the Windcave report
Select only the 'approved' responses (column J)
Select txn type (column C) = Prch and Rfnd
Step 3. Go line by line through the Lightspeed closure and tick off the WC payment.
Identify what is paid via the different registers, eg SHP-R1 and SHP-R2.
Also identify the 'refunds' and add a - before the number to make it negative.
Note: 'Ecom' (group account, column B) are the pay-by-link payments. They are not in LS but in WC.
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Step 4. Count the different registers together and make it match with lightspeed.
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Register 1:
Register 2:
Service outlet: no Windcave transactions, only field payments.
The missing invoice might be in a Windcave settlement report a day later.