When a refund is processed, it should post to QuickBooks in a way that matches the type of refund (e.g. full vs partial, reason). This is planned to be delivered alongside the CSI integration; until then, some refund handling may remain manual.
Why it matters: Finance and bookkeeping need correct categorization and audit trail for refunds.
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Completed
New Features
About 1 month ago
Linear
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Completed
New Features
About 1 month ago
Linear
Get notified by email when there are changes.