[{"question":{"category_id":1366687,"account_id":12867,"created_at":"2023-06-21T14:57:46.000Z","tag_names":["ach reject 72 hours","ach reject reconciliation","ach return code list","ach return codes","autopay disabled","autopay turn off ach reject","credit card chargeback","credit card decline","expired card autopay","invoice reopened after reject","nacha return codes","pending transactions report","post-settlement reject","r01 insufficient funds","r02 account closed","r03 no account","r10 not authorized","r29 corporate not authorized","reconcile ach reject accounting software","rejected transactions report","unauthorized ach return","why was my ach rejected"],"answer_sample":"When an ACH payment is rejected, the receiving bank sends back a standardized NAC","long_answer_sample":"When an ACH payment is rejected, the receiving bank sends back a standardized NACHA return code (R01, R02, R29, etc.) that tells the originating bank why. Credit card transactions have their own decline reasons and chargeback codes from the card brands. This article explains how rejects work, how Biller Genie handles them, which return codes trigger","language_id":1,"id":2017193,"last_published_date":"August 10th, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"ach payment rejected, receiving bank sends back standardized nacha return code (r01, r02, r29, etc.) tells originating why. credit card transactions decline reasons chargeback codes brands. article explains rejects work, biller genie handles them, trigger automatically remove method, find rejected account, reconcile reject arrives settled. works (in brief) move network operated (the national automated clearing house association). transaction passes two banks — odfi (originating depository financial institution, merchant deposits) rdfi (receiving customer's account lives). defines fixed daily settlement windows clear banks. returns happen within 72 hours submitted. checks routing number, authorization, either accepts entry r-code. smaller set \"consumer-authorization\" primarily r05, r07, r10, r11, r51 can returned 60 calendar days original tied customer disputing authorization rather account-mechanics check. corporate (r29) must banking days. specific see gateway- processor-specific. different gateways report underlying slightly strings short descriptions. maps gateway's raw standard recording it, portal match table exactly, reason. category behavior same. receives gateway associated invoice reopens collection. reminders resume invoice's normal schedule. late fees resume, enabled. history added noting (see next section), removes stored disables autopay prevent happening scheduled charge. disable mean longer usable closed, number invalid, holder died, flagged formally revoked authorization. below, method profile. turns flag. email in-app notification know needs follow-up. autopay-disabling r02 closed r03 / unable locate r04 invalid structure r13 r14 representative payee deceased continue r15 beneficiary r16 frozen per ofac r20 non-transaction r28 check digit error r29 advises authorized r30 participant truncation program r44 individual id (enr) (such r01 insufficient funds, r07 revoked, r08 stop payment, r10 originator authorized) auto-disable autopay. often recoverable may funds time charge runs, temporary, etc. leaves on. want manually one rejects, turn auto pay . full reference complete list codes. prefixed autopay-disable icon repeated context. title description enough cover debit. account. bank. format r05 unauthorized consumer debit authorize r06 requested return. withdrew prior placed transaction. r09 uncollected collected available. known receiver's r11 terms falls outside parameters. r12 sold another dfi transferred institution. no. incorrect. died. deceased. ofac. r17 file record edit criteria suspicious information. r18 improper effective date invalid. r19 amount field dollar contains errors. type process kind r21 company identification r22 r23 receiver refused recipient payment. r24 duplicate previous entry. r25 addenda additional-data section r26 mandatory required missing r27 trace wrong. participating truncation. r31 permissible allowed circumstances. r32 non-settlement settle. r33 xck check-related r34 limited participation status. r35 improper. r36 r37 source document presented r38 issued document. r39 r40 enr enrollment returned. r41 r42 information r43 r45 name r46 indicator designation r47 enrollment. r50 state law affecting rck acceptance prevents conversion. ineligible item related conversion ineligible. r52 item. r53 versions simultaneously. r61 misrouted sent wrong r62 erroneous reversing incorrectly reverses r67 r68 untimely submitted timeframe. r69 data processing r70 accepted originator. r71 dishonored incorrectly. r72 late. r73 timely deadline. r74 corrected corrects earlier r75 legitimate, duplicate. r76 errors found r77 non-acceptance reversal r80 iat coding international transfer r81 non-participant program. r82 foreign r83 settle settlement. r84 processed r85 coded outbound int'l nacha's authoritative documentation, operating rules declines chargebacks use above. separate kinds negative outcomes moment charging (insufficient credit, do-not-honor, expired card, fraud-rule trigger, etc.). usually retry issue resolved. exact reason text comes processor varies troubleshooting declined common ones. disputes issuer fact. dispute investigated. handled processor's (not genie); get real-time signal occurred. genie's cards narrower attempt fails (biller detects locally expiration date), disabled timeline added. run again. either. decide chargebacked billed again, manually. finding reports three help track pending yet queue in-flight payments still arrive. walkthrough. every came code, along itself. (cc ach, statuses) place audit view. settled arrive initial paid status consumer-authorization (r05, r51) come later, important reported paid, stops polling updates it. later notifies post-settlement (typically portal), will show accounting software though pulled happens, need books steps cases. reconciling failed re-fail. 1 period open cleanest fix software, matched void delete let sync. reopens, period. 2 locked (a gaap practice), go it'll break month. instead, leave alone current create expense (or vendor check) reflects pulling back. day performing action. appropriate a/r line item, memo traceable. new customer, amount, dated today, marked due receipt. add like \"re-bill #\u0026lt;number\u0026gt; \u0026lt;date\u0026gt; (code \u0026lt;rxx\u0026gt;)\" (and you) for. flows unpaid invoice. managing across multiple customers period, internal batch involves nets zero given bank-statement reach support guidance setting up. trouble trying understand seeing above, contact support@billergenie.com include whether arrived articles storing methods (cards ach) deposit funding timeframes","name":"ACH and Credit Card Reject Codes: How They Work in Biller Genie","votes":0,"is_published":true,"slug":"ach-and-credit-card-rejection-codes","first_category":"Payment Acceptance","categories_display_for_views":"Payment Acceptance","parent_categories":[1366687],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/payment-acceptance/ach-and-credit-card-rejection-codes?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"ach payment rejected, receiving bank sends back standardized nacha return code (r01, r02, r29, etc.) tells originating why. credit card transactions decline reasons chargeback codes brands. article explains rejects work, biller genie handles them, trigger automatically remove method, find rejected account, reconcile reject arrives settled. works (in brief) move network operated (the national automated clearing house association). transaction passes two banks — odfi (originating depository financial institution, merchant deposits) rdfi (receiving customer's account lives). defines fixed daily settlement windows clear banks. returns happen within 72 hours submitted. checks routing number, authorization, either accepts entry r-code. smaller set \"consumer-authorization\" primarily r05, r07, r10, r11, r51 can returned 60 calendar days original tied customer disputing authorization rather account-mechanics check. corporate (r29) must banking days. specific see gateway- processor-specific. different gateways report underlying slightly strings short descriptions. maps gateway's raw standard recording it, portal match table exactly, reason. category behavior same. receives gateway associated invoice reopens collection. reminders resume invoice's normal schedule. late fees resume, enabled. history added noting (see next section), removes stored disables autopay prevent happening scheduled charge. disable mean longer usable closed, number invalid, holder died, flagged formally revoked authorization. below, method profile. turns flag. email in-app notification know needs follow-up. autopay-disabling r02 closed r03 / unable locate r04 invalid structure r13 r14 representative payee deceased continue r15 beneficiary r16 frozen per ofac r20 non-transaction r28 check digit error r29 advises authorized r30 participant truncation program r44 individual id (enr) (such r01 insufficient funds, r07 revoked, r08 stop payment, r10 originator authorized) auto-disable autopay. often recoverable may funds time charge runs, temporary, etc. leaves on. want manually one rejects, turn auto pay . full reference complete list codes. prefixed autopay-disable icon repeated context. title description enough cover debit. account. bank. format r05 unauthorized consumer debit authorize r06 requested return. withdrew prior placed transaction. r09 uncollected collected available. known receiver's r11 terms falls outside parameters. r12 sold another dfi transferred institution. no. incorrect. died. deceased. ofac. r17 file record edit criteria suspicious information. r18 improper effective date invalid. r19 amount field dollar contains errors. type process kind r21 company identification r22 r23 receiver refused recipient payment. r24 duplicate previous entry. r25 addenda additional-data section r26 mandatory required missing r27 trace wrong. participating truncation. r31 permissible allowed circumstances. r32 non-settlement settle. r33 xck check-related r34 limited participation status. r35 improper. r36 r37 source document presented r38 issued document. r39 r40 enr enrollment returned. r41 r42 information r43 r45 name r46 indicator designation r47 enrollment. r50 state law affecting rck acceptance prevents conversion. ineligible item related conversion ineligible. r52 item. r53 versions simultaneously. r61 misrouted sent wrong r62 erroneous reversing incorrectly reverses r67 r68 untimely submitted timeframe. r69 data processing r70 accepted originator. r71 dishonored incorrectly. r72 late. r73 timely deadline. r74 corrected corrects earlier r75 legitimate, duplicate. r76 errors found r77 non-acceptance reversal r80 iat coding international transfer r81 non-participant program. r82 foreign r83 settle settlement. r84 processed r85 coded outbound int'l nacha's authoritative documentation, operating rules declines chargebacks use above. separate kinds negative outcomes moment charging (insufficient credit, do-not-honor, expired card, fraud-rule trigger, etc.). usually retry issue resolved. exact reason text comes processor varies troubleshooting declined common ones. disputes issuer fact. dispute investigated. handled processor's (not genie); get real-time signal occurred. genie's cards narrower attempt fails (biller detects locally expiration date), disabled timeline added. run again. either. decide chargebacked billed again, manually. finding reports three help track pending yet queue in-flight payments still arrive. walkthrough. every came code, along itself. (cc ach, statuses) place audit view. settled arrive initial paid status consumer-authorization (r05, r51) come later, important reported paid, stops polling updates it. later notifies post-settlement (typically portal), will show accounting software though pulled happens, need books steps cases. reconciling failed re-fail. 1 period open cleanest fix software, matched void delete let sync. reopens, period. 2 locked (a gaap practice), go it'll break month. instead, leave alone current create expense (or vendor check) reflects pulling back. day performing action. appropriate a/r line item, memo traceable. new customer, amount, dated today, marked due receipt. add like \"re-bill #\u0026lt;number\u0026gt; \u0026lt;date\u0026gt; (code \u0026lt;rxx\u0026gt;)\" (and you) for. flows unpaid invoice. managing across multiple customers period, internal batch involves nets zero given bank-statement reach support guidance setting up. trouble trying understand seeing above, contact support@billergenie.com include whether arrived articles storing methods (cards ach) deposit funding timeframes","categories":{"current":{"id":1366687,"name":"Payment Acceptance","url":"/payment-acceptance"}},"category_param":"payment-acceptance"}},{"question":{"category_id":1369271,"account_id":12867,"created_at":"2026-07-22T18:46:44.601Z","tag_names":["abr","automatic batch reconciliation","batch reconcilation","batch reconciliation","clearing account","daily deposit","merchant fees","quickbooks reconciliation","reconcile deposits","settlement account","settlement sweep","sweep account","undeposited funds"],"answer_sample":"If you accept payments, you know the bookkeeping problem: the money that lands in","long_answer_sample":"If you accept payments, you know the bookkeeping problem: the money that lands in your bank account never looks like the invoices you sent. Deposits arrive in daily batches, processing fees come out on their own schedule, and the occasional chargeback or returned ACH payment pulls money back. Matching all of that to your accounting records by hand i","language_id":1,"id":3893597,"last_published_date":"July 27th, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"accept payments, know bookkeeping problem money lands bank account never looks like invoices sent. deposits arrive daily batches, processing fees come schedule, occasional chargeback returned ach payment pulls back. matching accounting records hand slow error-prone. automatic batch reconciliation (abr) makes software tell story statement, automatically. works quickbooks online desktop magiccarpet. support xero coming later. finding add-on marketplace life without abr undeposited funds abr, payments sync traditional way funds, (or bookkeeper) manually group match actually hit bank, work hand, reconcile clawbacks yourself. replaces manual matching. money, accounts payable you, grouping happen own. sweep uses simple clearing pattern built around settlement (the \"sweep\"). holding books, real account. represents transit processor bank. recorded, booked sweep. gateway settles posts journal entry moves total everything matched, returns zero. balance return zero signal something needs attention, history screen shows exactly transactions look at. expects (separate settlement) abr's entries assume common processors move money. helps assumptions front deposits. day's deposited either gross (fees billed monthly) net fee (daily discount). models supported natively. monthly separate withdrawal. bills month, withdrawal part batch. deliberately post it; book month-end ordinary expense, always have. instead taken deposit, switch module discount, handles chargebacks cardholder disputes sale, leaves debit, reduction deposit. match. nets deposit instead, see reconciling netted straight normal clawback pattern, them. expect day settle, batches appear module's grid settle date, amount, status. settled becomes one quickbooks, moving batch's mapped show live balances pulled quick glance tells whether cleared. synced means reconciled. voids batch, voided settles. refunds ride inside handled automatically, refund-heavy negative. installing covered credit card reconciliation, recording. reject handling settlement. check processed biller genie. paypal reconciliation. note recording genie only. keeps ledger agreement bank; dispute, represent, arbitrate anything. still manage actual dispute process directly processor. getting started install merchant portal, map activate types want. full walkthrough setting mappings balances. related articles reading transaction linking discount chart mapping accounting-software integrations","name":"Understanding Automatic Batch Reconciliation","votes":0,"is_published":true,"slug":"understanding-automatic-batch-reconciliation","first_category":"Automatic Batch Reconciliation","categories_display_for_views":"Automatic Batch Reconciliation","parent_categories":[1369271],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/automatic-batch-reconciliation/understanding-automatic-batch-reconciliation?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"accept payments, know bookkeeping problem money lands bank account never looks like invoices sent. deposits arrive daily batches, processing fees come schedule, occasional chargeback returned ach payment pulls back. matching accounting records hand slow error-prone. automatic batch reconciliation (abr) makes software tell story statement, automatically. works quickbooks online desktop magiccarpet. support xero coming later. finding add-on marketplace life without abr undeposited funds abr, payments sync traditional way funds, (or bookkeeper) manually group match actually hit bank, work hand, reconcile clawbacks yourself. replaces manual matching. money, accounts payable you, grouping happen own. sweep uses simple clearing pattern built around settlement (the \"sweep\"). holding books, real account. represents transit processor bank. recorded, booked sweep. gateway settles posts journal entry moves total everything matched, returns zero. balance return zero signal something needs attention, history screen shows exactly transactions look at. expects (separate settlement) abr's entries assume common processors move money. helps assumptions front deposits. day's deposited either gross (fees billed monthly) net fee (daily discount). models supported natively. monthly separate withdrawal. bills month, withdrawal part batch. deliberately post it; book month-end ordinary expense, always have. instead taken deposit, switch module discount, handles chargebacks cardholder disputes sale, leaves debit, reduction deposit. match. nets deposit instead, see reconciling netted straight normal clawback pattern, them. expect day settle, batches appear module's grid settle date, amount, status. settled becomes one quickbooks, moving batch's mapped show live balances pulled quick glance tells whether cleared. synced means reconciled. voids batch, voided settles. refunds ride inside handled automatically, refund-heavy negative. installing covered credit card reconciliation, recording. reject handling settlement. check processed biller genie. paypal reconciliation. note recording genie only. keeps ledger agreement bank; dispute, represent, arbitrate anything. still manage actual dispute process directly processor. getting started install merchant portal, map activate types want. full walkthrough setting mappings balances. related articles reading transaction linking discount chart mapping accounting-software integrations","categories":{"current":{"id":1369271,"name":"Automatic Batch Reconciliation","url":"/automatic-batch-reconciliation"}},"category_param":"automatic-batch-reconciliation"}},{"question":{"category_id":1369271,"account_id":12867,"created_at":"2026-07-22T18:46:50.765Z","tag_names":["abr","ach clawback","ach reject","ach rejects","ach return","bank return","batch reconciliation","e-check return","nsf","post settlement return","rebill invoice","returned payment","write off","net settlement","netted from deposit","returned payment deducted from deposit","sweep off by returned amount"],"answer_sample":"ACH is a trust-then-verify network. A payment can be reported settled and funded,","long_answer_sample":"ACH is a trust-then-verify network. A payment can be reported settled and funded, and then bounce up to 60 days later under the banking network's return rules, for reasons like a closed account or a customer-disputed debit. When that happens, the bank pulls the money straight back out of your bank account. The ACH reject feature in Automatic Batch R","language_id":1,"id":3893602,"last_published_date":"August 14th, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"ach trust-then-verify network. payment can reported settled funded, bounce 60 days later banking network's return rules, reasons like closed account customer-disputed debit. happens, bank pulls money straight back account. reject feature automatic batch reconciliation (abr) records clawback correctly quickbooks and, want, rebills customer. bookkeeping only. recording biller genie keeps ledger agreement bank; moves, nothing sent gateway. follow-up happens processor bank. covers payments returned funded. separate pre-funding rejects, rejected ever marked paid, transactions report always listed. codes themselves, see credit card codes. rejects reach experience depends gateway automatically, almost every learns post-settlement returns surfaces you, usually within day learning it. appears post-funding panel own; choose outcome. detection looks days, matching window. transaction page. statement tells came back, open genie. settled, button record it, confirms click. appears. small number gateways confirm reliably enough act notifies transaction, adjustment directly accounting software. contact tell whether one them. however reaches follows identical. active, top report. work queue still need action row shows detected date, customer, amount, id, invoice, resolve action. bulk single full amount payment, regular rejected-transactions grid sits panel. choosing opens write rebill invoice choices described below. resolved, leaves list actioned again; export csv history. required accounts items mapped synced yet, buttons disabled, link settings finish setup. panel's window options supported gateways, transaction's detail page button, stays resolved. abr's module must active mapped. yet returned, clicking warning disabled refresh page; try reflects return. never reliably, shown outcome vs modal gives two options. ask \"are sure\" continuing, decision final. off. accept loss close out. journal entry moves invoice. collect again. reversed new created entries sync software next sync. option confirming touch sweep account; comes account, mirror that. debits credits settlement (bank) books match bank's withdrawal. posts, followed using item. syncs normal connected ready pay (checking) removing original funds corresponding memo noting due customer taken deposit processors withdraw separately. instead, deduct future deposit, netting pattern reconciling chargebacks netted deposit. works, posted assume withdrawal, predictable way holds leftover balance equal withdrawal separately occurred fix debit / (your account) online steps click + \u0026gt; entry. line 1 enter column. 2 add \"ach deposit\", save. desktop note desktop, make company menu general memo. applies reject, exactly amount. signature zero related articles understanding setting abr mappings balances","name":"Handling ACH Rejects After Settlement","votes":0,"is_published":true,"slug":"handling-ach-rejects-after-settlement","first_category":"Automatic Batch Reconciliation","categories_display_for_views":"Automatic Batch Reconciliation","parent_categories":[1369271],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/automatic-batch-reconciliation/handling-ach-rejects-after-settlement?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"ach trust-then-verify network. payment can reported settled funded, bounce 60 days later banking network's return rules, reasons like closed account customer-disputed debit. happens, bank pulls money straight back account. reject feature automatic batch reconciliation (abr) records clawback correctly quickbooks and, want, rebills customer. bookkeeping only. recording biller genie keeps ledger agreement bank; moves, nothing sent gateway. follow-up happens processor bank. covers payments returned funded. separate pre-funding rejects, rejected ever marked paid, transactions report always listed. codes themselves, see credit card codes. rejects reach experience depends gateway automatically, almost every learns post-settlement returns surfaces you, usually within day learning it. appears post-funding panel own; choose outcome. detection looks days, matching window. transaction page. statement tells came back, open genie. settled, button record it, confirms click. appears. small number gateways confirm reliably enough act notifies transaction, adjustment directly accounting software. contact tell whether one them. however reaches follows identical. active, top report. work queue still need action row shows detected date, customer, amount, id, invoice, resolve action. bulk single full amount payment, regular rejected-transactions grid sits panel. choosing opens write rebill invoice choices described below. resolved, leaves list actioned again; export csv history. required accounts items mapped synced yet, buttons disabled, link settings finish setup. panel's window options supported gateways, transaction's detail page button, stays resolved. abr's module must active mapped. yet returned, clicking warning disabled refresh page; try reflects return. never reliably, shown outcome vs modal gives two options. ask \"are sure\" continuing, decision final. off. accept loss close out. journal entry moves invoice. collect again. reversed new created entries sync software next sync. option confirming touch sweep account; comes account, mirror that. debits credits settlement (bank) books match bank's withdrawal. posts, followed using item. syncs normal connected ready pay (checking) removing original funds corresponding memo noting due customer taken deposit processors withdraw separately. instead, deduct future deposit, netting pattern reconciling chargebacks netted deposit. works, posted assume withdrawal, predictable way holds leftover balance equal withdrawal separately occurred fix debit / (your account) online steps click + \u0026gt; entry. line 1 enter column. 2 add \"ach deposit\", save. desktop note desktop, make company menu general memo. applies reject, exactly amount. signature zero related articles understanding setting abr mappings balances","categories":{"current":{"id":1369271,"name":"Automatic Batch Reconciliation","url":"/automatic-batch-reconciliation"}},"category_param":"automatic-batch-reconciliation"}},{"question":{"category_id":1368778,"account_id":12867,"created_at":"2024-05-14T18:00:27.000Z","tag_names":["abr","automatic batch reconciliation","auto sync interval","last ping qbd","magiccarpet auto sync","magiccarpet settings","qbd add-on settings","qbd connection status","qbd manual sync","qbd sync now","qbd sync page","refund readiness","sync chunk size"],"answer_sample":"The Biller Genie QuickBooks Desktop add-on page is where you check connection sta","long_answer_sample":"The Biller Genie QuickBooks Desktop add-on page is where you check connection status, run manual syncs, and adjust sync behavior. This article walks through every setting on that page. For the broader picture of why QuickBooks Desktop syncs fail and how to keep them reliable, see the QuickBooks Desktop Sync Reliability hub . Where to find the QuickB","language_id":1,"id":2559768,"last_published_date":"July 27th, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"biller genie quickbooks desktop add-on page check connection status, run manual syncs, adjust sync behavior. article walks every setting page. broader picture syncs fail keep reliable, see reliability hub . find merchant portal, click add-ons \u0026gt; desktop. (if it, installed via marketplace.) status glance top page, shows real-time information latest message magiccarpet — recent windows-side app. last ping checked genie's cloud. within minutes online. successful data exchange happened. may hours old; matters gap growing. result success, partial, failure attempt. connected company file currently bound to. use section confirm integration active. something looks off, troubleshooting diagnostic flow. settings automatic syncing auto controls whether automatically. set yes environments. pauses background syncing; manually now button. interval often initiated (in minutes). 60 recommended. shorter intervals add load without benefit skips no-op changes. performance first chunk size records pulled per request connecting. default (5,000) works accounts. lower machine limited memory; raise fast large file. delta idea ongoing incremental (default 2,500). lookback far back checks changes 2 hours). increase business runs across long shifts activity might fall outside window. actions kicks immediate sync, regardless auto-sync schedule. disconnect revokes authorization stops syncing. batch reconciliation connection. journal entries, chargeback reject account balances shown module screen travel cycle configure here, healthy keeps current. two things mind refund readiness. active, button transaction stays disabled sweep, settlement, item mappings synced. button’s tooltip reads “all required accounts items must configured synced processing refund. allows properly refunds accounting software,” manage link brings mapping screen. entries appear next sync. rather real time, balance updates land abr full setup walkthrough. change merchants never need touch defaults. common adjustments turning temporarily cleanup raising overnight sometimes misses late-day transactions. lowering sizes times memory-constrained machine. related articles fix connect best practices understanding","name":"QuickBooks Desktop Sync Page Settings","votes":0,"is_published":true,"slug":"quickbooks-desktop-sync-page-settings","first_category":"Accounting Software","categories_display_for_views":"Accounting Software","parent_categories":[1368778],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/accounting-software/quickbooks-desktop-sync-page-settings?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"biller genie quickbooks desktop add-on page check connection status, run manual syncs, adjust sync behavior. article walks every setting page. broader picture syncs fail keep reliable, see reliability hub . find merchant portal, click add-ons \u0026gt; desktop. (if it, installed via marketplace.) status glance top page, shows real-time information latest message magiccarpet — recent windows-side app. last ping checked genie's cloud. within minutes online. successful data exchange happened. may hours old; matters gap growing. result success, partial, failure attempt. connected company file currently bound to. use section confirm integration active. something looks off, troubleshooting diagnostic flow. settings automatic syncing auto controls whether automatically. set yes environments. pauses background syncing; manually now button. interval often initiated (in minutes). 60 recommended. shorter intervals add load without benefit skips no-op changes. performance first chunk size records pulled per request connecting. default (5,000) works accounts. lower machine limited memory; raise fast large file. delta idea ongoing incremental (default 2,500). lookback far back checks changes 2 hours). increase business runs across long shifts activity might fall outside window. actions kicks immediate sync, regardless auto-sync schedule. disconnect revokes authorization stops syncing. batch reconciliation connection. journal entries, chargeback reject account balances shown module screen travel cycle configure here, healthy keeps current. two things mind refund readiness. active, button transaction stays disabled sweep, settlement, item mappings synced. button’s tooltip reads “all required accounts items must configured synced processing refund. allows properly refunds accounting software,” manage link brings mapping screen. entries appear next sync. rather real time, balance updates land abr full setup walkthrough. change merchants never need touch defaults. common adjustments turning temporarily cleanup raising overnight sometimes misses late-day transactions. lowering sizes times memory-constrained machine. related articles fix connect best practices understanding","categories":{"current":{"id":1368778,"name":"Accounting Software","url":"/accounting-software"}},"category_param":"accounting-software"}},{"question":{"category_id":1369271,"account_id":12867,"created_at":"2026-07-22T18:46:46.250Z","tag_names":["abr setup","account balances","account mapping","activate abr","batch reconciliation","chargeback sweep","chart of accounts","last sync","merchant fees account","quickbooks accounts","returned payments","settlement account","sweep account","undeposited funds","abr"],"answer_sample":"Before Automatic Batch Reconciliation (ABR) can post journal entries, it needs to","long_answer_sample":"Before Automatic Batch Reconciliation (ABR) can post journal entries, it needs to know which QuickBooks accounts play which role. This article walks through the accounts ABR uses, how to map them, how to read the balance display, and how activation works, including what happens if you have open batches or are upgrading from the earlier version of th","language_id":1,"id":3893598,"last_published_date":"July 31st, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"automatic batch reconciliation (abr) can post journal entries, needs know quickbooks accounts play role. article walks abr uses, map them, read balance display, activation works, including happens open batches upgrading earlier version add-on. start accounting software must connected online, desktop magiccarpet. payment gateway type (credit card, ach, check) want activate. uses mapped per relevant account settlement sweep clearing account. holds funds transit bank. return zero everything reconciles. current asset real deposit (bank) bank merchant fees expense daily discount fees. required use discount. chargeback credit card only. parks disputed arbitrated. returned payments reject losses recognized; line item used rebill invoices. undeposited one-time entries posted activate deactivate module. existing hard prerequisites activated synced. additionally requires mapping roles assigned chart tool settings. module screen, name blue link, jump straight itself. viewing mappings add-on editing sweep, settlement, links reading display screen shows pill pulled directly grey (zero) zero. synced means reconciled. (positive) positive balance. usually settled yet, transaction attention. orange (negative) negative. often points money arrived without matching record. see history triage steps. hover last sync, time quickbooks. two things balances read-only. biller genie pulls sync never writes back. number account's include sub-accounts. stale, may lag currently shows. deep online merchants, names link quickbooks, register one click. clicking listed opens example opening cc activating toggle. toggle stays disabled recorded yet running amount asks confirm activating. confirmation, entry moves account, starts telling truth day one. later module, reversing remaining reconciliation, tiles appear marketplace, migrate new there. carry review migration way. move switch back, prominent warning asking runs. confirm. shown migrating runs undone related articles understanding linking fee connect magiccarpet","name":"Setting Up ABR: Account Mappings and Balances","votes":0,"is_published":true,"slug":"abr-account-mappings-and-balances","first_category":"Automatic Batch Reconciliation","categories_display_for_views":"Automatic Batch Reconciliation","parent_categories":[1369271],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/automatic-batch-reconciliation/abr-account-mappings-and-balances?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"automatic batch reconciliation (abr) can post journal entries, needs know quickbooks accounts play role. article walks abr uses, map them, read balance display, activation works, including happens open batches upgrading earlier version add-on. start accounting software must connected online, desktop magiccarpet. payment gateway type (credit card, ach, check) want activate. uses mapped per relevant account settlement sweep clearing account. holds funds transit bank. return zero everything reconciles. current asset real deposit (bank) bank merchant fees expense daily discount fees. required use discount. chargeback credit card only. parks disputed arbitrated. returned payments reject losses recognized; line item used rebill invoices. undeposited one-time entries posted activate deactivate module. existing hard prerequisites activated synced. additionally requires mapping roles assigned chart tool settings. module screen, name blue link, jump straight itself. viewing mappings add-on editing sweep, settlement, links reading display screen shows pill pulled directly grey (zero) zero. synced means reconciled. (positive) positive balance. usually settled yet, transaction attention. orange (negative) negative. often points money arrived without matching record. see history triage steps. hover last sync, time quickbooks. two things balances read-only. biller genie pulls sync never writes back. number account's include sub-accounts. stale, may lag currently shows. deep online merchants, names link quickbooks, register one click. clicking listed opens example opening cc activating toggle. toggle stays disabled recorded yet running amount asks confirm activating. confirmation, entry moves account, starts telling truth day one. later module, reversing remaining reconciliation, tiles appear marketplace, migrate new there. carry review migration way. move switch back, prominent warning asking runs. confirm. shown migrating runs undone related articles understanding linking fee connect magiccarpet","categories":{"current":{"id":1369271,"name":"Automatic Batch Reconciliation","url":"/automatic-batch-reconciliation"}},"category_param":"automatic-batch-reconciliation"}},{"question":{"category_id":1368781,"account_id":12867,"created_at":"2026-05-22T17:31:20.888Z","tag_names":["1099-k","tax form merchant","merchant 1099","next day funding","faster funding","batch close time","biller genie funding","when does money hit the bank","processor statement","merchant statement","reliafund funding","fortis funding","gateway 1099","funding timeframes"],"answer_sample":"Two of the most common end-of-month / end-of-year questions from merchants on Bil","long_answer_sample":"Two of the most common end-of-month / end-of-year questions from merchants on Biller Genie: \"When does my money hit the bank?\" and \"Where's my 1099-K?\" Both of those answers come from your payment processor, not from Biller Genie. This article covers how the funding flow actually works, what affects timing, and where to get your tax forms. Who actua","language_id":1,"id":3826917,"last_published_date":"July 31st, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"two common end-of-month / end-of-year questions merchants biller genie \"when money hit bank\" \"where's 1099-k\" answers come payment processor, genie. article covers funding flow actually works, affects timing, get tax forms. funds platform processes invoices presents options customer. actual movement — legal relationship creates 1099-k happens processor (the company runs card network ach rails behalf) credit debit payments routed depending setup, fortis, sola services, elavon, authorize.net, usa epay, whichever gateway account uses. record holds merchant entity bank reports gross sales irs. check processed reliafund (biller genie's banking partner). ach, source. checks captured via rdc mobile capture, handles deposit. move money; orchestrate flow. issue 1099-k. both. timeframes method typical time funded 1-2 business days daily batch closes. cards batch-close cutoff settle next day; day that. 3-5 days. transactions go settlement window can still reject (insufficient funds, etc.). see codes . (rdc mobile) days, similar ach. goes window. next-day \"faster\" faster feature processor's agreement, toggle lever close setting (typically pacific processors) means fund rather later. set contact (your provider). accounts fortis specific gateway's support line. ask confirm current cadence. request least 30 minutes cutoff. need adjust mid configuration end. processors charge extra funding; costs opting in. biller-genie-side change speed. processor. getting comes merchant-services depositing them. 1099-ks issued required send forms january 31 year covering previous calendar year. arrived mid-february, find mail address file. make sure address. portal expose online statements, documents, 1099. log check. it, services re-issue email copy. open add-ons. active listed process (one processor) (reliafund), may receive one each. monthly statements idea statement (showing sales, fees, chargebacks, net deposits) mail. shows (and doesn't) rich reporting side report every payment, refund, void full detail. use want know came deposited fees. 1099-k, support@billergenie.com provide info. related articles understanding automatic reconciliation","name":"Funding, Statements, and 1099-K from Your Processor","votes":0,"is_published":true,"slug":"getting-your-1099-k","first_category":"Reports \u0026 Dashboards","categories_display_for_views":"Reports \u0026 Dashboards","parent_categories":[1368781],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/reports-and-reconciliation/getting-your-1099-k?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"two common end-of-month / end-of-year questions merchants biller genie \"when money hit bank\" \"where's 1099-k\" answers come payment processor, genie. article covers funding flow actually works, affects timing, get tax forms. funds platform processes invoices presents options customer. actual movement — legal relationship creates 1099-k happens processor (the company runs card network ach rails behalf) credit debit payments routed depending setup, fortis, sola services, elavon, authorize.net, usa epay, whichever gateway account uses. record holds merchant entity bank reports gross sales irs. check processed reliafund (biller genie's banking partner). ach, source. checks captured via rdc mobile capture, handles deposit. move money; orchestrate flow. issue 1099-k. both. timeframes method typical time funded 1-2 business days daily batch closes. cards batch-close cutoff settle next day; day that. 3-5 days. transactions go settlement window can still reject (insufficient funds, etc.). see codes . (rdc mobile) days, similar ach. goes window. next-day \"faster\" faster feature processor's agreement, toggle lever close setting (typically pacific processors) means fund rather later. set contact (your provider). accounts fortis specific gateway's support line. ask confirm current cadence. request least 30 minutes cutoff. need adjust mid configuration end. processors charge extra funding; costs opting in. biller-genie-side change speed. processor. getting comes merchant-services depositing them. 1099-ks issued required send forms january 31 year covering previous calendar year. arrived mid-february, find mail address file. make sure address. portal expose online statements, documents, 1099. log check. it, services re-issue email copy. open add-ons. active listed process (one processor) (reliafund), may receive one each. monthly statements idea statement (showing sales, fees, chargebacks, net deposits) mail. shows (and doesn't) rich reporting side report every payment, refund, void full detail. use want know came deposited fees. 1099-k, support@billergenie.com provide info. related articles understanding automatic reconciliation","categories":{"current":{"id":1368781,"name":"Reports \u0026 Dashboards","url":"/reports-and-reconciliation"}},"category_param":"reports-and-reconciliation"}},{"question":{"category_id":323115,"account_id":12867,"created_at":"2026-05-22T17:30:50.082Z","tag_names":["detach payment balance","invoice balance mismatch","invoice not closing","invoice paid in qbo not bg","invoice paid still open","partial payment invoice open","payment not synced biller genie","pending ach attached invoice","reconcile invoice biller genie","technology fee pending"],"answer_sample":"An invoice that's marked \"Paid\" in your accounting software but still shows as Op","long_answer_sample":"An invoice that's marked \"Paid\" in your accounting software but still shows as Open (or partial balance) in Biller Genie is one of the most common reconciliation puzzles. There are several specific causes — this article walks through them in the order you should check. Step 1: Confirm the actual state Open the invoice in Biller Genie. Note the Balan","language_id":1,"id":3826876,"last_published_date":"May 31st, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"invoice marked \"paid\" accounting software still shows open (or partial balance) biller genie one common reconciliation puzzles. several specific causes — article walks order check. step 1 confirm actual state genie. note balance remaining, status, payment rows timeline . (qbo, qbd, xero) applied payments. mismatch will usually fall patterns below. 2 check sync queues answer working time, queues. paid open, good chance related line item like late fee technology fee) sitting error message tells exactly wrong. queue history payments back. search transaction id. listed, desc column fix (deleted invoice, closed period, expired connection, etc.). outbound items (late fees, returned-check fees) added existing accounting-software invoice. stuck can change total way makes show different balances. find either queue, underlying issue per next cycle reconcile everything automatically. continue cause pending ach attached funded yet symptom check) amount $x. unchanged. take 3-5 business days settle. funding window, records invoice's reduce reject. software, hand, may bookkeeper manually. resolution wait. settles, mark push back software. rejects, stays reminders resume (you'll see rejection entry rejected transactions report ). (surcharge / dual-pricing synced paiddate set balanceremaining negative. internally calls \"paid balance.\" customer credit card fees (surcharging dual pricing) enabled, gets runs separately. confirms fee, math looks off. wait sync. automatically reconciles item. 3 (because check, cash, external qbo/qbd/xero). timeline. syncs invoices periodically. lag qbo/xero picks hour, longer issue. trigger manual add-ons \u0026gt; minutes. showing genie, errors (reports errors) failed records. enabled email notification, received alert stale configure general settings 4 previously-applied detached detach #x #y. status. someone team (likely re-attach invoice). detaching reverses goes cleared. correct apply new original applicable. attaching 5 voided refunded $x voided, refunded, detached. reversed. restores clears paiddate. void/refund intentional. so, need collection action unintentional, contact support@billergenie.com 6 \"partially paid,\" less total. reduced balance. designed reduces close remaining 7 wrong paid. open. looking customer's invoices, overpaid unexpected applied) money landed. one. ruled persists, number, name, shows, shows. audit identify exact gap. articles activity reject codes","name":"An Invoice Is Marked Paid but Still Shows Open","votes":0,"is_published":true,"slug":"invoice-marked-paid-but-still-shows-open","first_category":"Invoices \u0026 Items","categories_display_for_views":"Invoices \u0026 Items","parent_categories":[323115],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/invoices/invoice-marked-paid-but-still-shows-open?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"invoice marked \"paid\" accounting software still shows open (or partial balance) biller genie one common reconciliation puzzles. several specific causes — article walks order check. step 1 confirm actual state genie. note balance remaining, status, payment rows timeline . (qbo, qbd, xero) applied payments. mismatch will usually fall patterns below. 2 check sync queues answer working time, queues. paid open, good chance related line item like late fee technology fee) sitting error message tells exactly wrong. queue history payments back. search transaction id. listed, desc column fix (deleted invoice, closed period, expired connection, etc.). outbound items (late fees, returned-check fees) added existing accounting-software invoice. stuck can change total way makes show different balances. find either queue, underlying issue per next cycle reconcile everything automatically. continue cause pending ach attached funded yet symptom check) amount $x. unchanged. take 3-5 business days settle. funding window, records invoice's reduce reject. software, hand, may bookkeeper manually. resolution wait. settles, mark push back software. rejects, stays reminders resume (you'll see rejection entry rejected transactions report ). (surcharge / dual-pricing synced paiddate set balanceremaining negative. internally calls \"paid balance.\" customer credit card fees (surcharging dual pricing) enabled, gets runs separately. confirms fee, math looks off. wait sync. automatically reconciles item. 3 (because check, cash, external qbo/qbd/xero). timeline. syncs invoices periodically. lag qbo/xero picks hour, longer issue. trigger manual add-ons \u0026gt; minutes. showing genie, errors (reports errors) failed records. enabled email notification, received alert stale configure general settings 4 previously-applied detached detach #x #y. status. someone team (likely re-attach invoice). detaching reverses goes cleared. correct apply new original applicable. attaching 5 voided refunded $x voided, refunded, detached. reversed. restores clears paiddate. void/refund intentional. so, need collection action unintentional, contact support@billergenie.com 6 \"partially paid,\" less total. reduced balance. designed reduces close remaining 7 wrong paid. open. looking customer's invoices, overpaid unexpected applied) money landed. one. ruled persists, number, name, shows, shows. audit identify exact gap. articles activity reject codes","categories":{"current":{"id":323115,"name":"Invoices \u0026 Items","url":"/invoices"}},"category_param":"invoices"}},{"question":{"category_id":1369271,"account_id":12867,"created_at":"2026-07-22T18:46:51.582Z","tag_names":["abr","bank reconciliation","batch reconciliation","charge back","chargeback","combined settlement","deposit does not match","manual journal entry","netted deposit","quickbooks journal entry","settlement account","short deposit","sweep account","net settlement","ach return netted"],"answer_sample":"Automatic Batch Reconciliation (ABR) assumes the standard settlement model: when ","long_answer_sample":"Automatic Batch Reconciliation (ABR) assumes the standard settlement model: when a cardholder disputes a sale, your processor withdraws the chargeback amount from your bank account as its own separate debit. Some processors work differently and take the chargeback out of your daily deposit instead, so on a day with a chargeback, the deposit that rea","language_id":1,"id":3893603,"last_published_date":"August 14th, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"automatic batch reconciliation (abr) assumes standard settlement model cardholder disputes sale, processor withdraws chargeback amount bank account separate debit. processors work differently take daily deposit instead, day chargeback, reaches smaller total. article merchants second group. symptom days actual abr recorded, sweep may hold leftover balance. bookkeeping only. everything page keeping ledger agreement bank. recording biller genie dispute arbitrate anything; still manage payment processor. first choice ask best fix configuration, bookkeeping. partner whether merchant can configured chargebacks drawn separately instead combined batch. support this. settle separately, abr's matches reality exactly reconciles natively, manual work. possible journal entry change keep books straight one small per accounting software. moves accounts recorded real net clears debit / credit (your account) post dated affected settled, memo like \"chargeback netted deposit, invoice #…\" easy trace later. mapped balances, residual balance shows quickbooks online steps click + new \u0026gt; entry. set date batch's date. line 1 choose (bank) enter debits column. 2 credits add referencing invoice, save. desktop note (connected magiccarpet), made company menu make general entries. use two lines, account, conventions. matching short statement reconcile feed, single equals minus chargeback. match it, select entries together clears. (which posts separate-withdrawal assumption), include creating one, clear left sweep. doubt, aim checks matches, returns zero. returned ach payments way. deduct later withdrawing separately. one-entry applies; see section \"if taken deposit\" handling rejects settlement. related articles understanding reading history transaction linking deposits reconciling feeds","name":"Reconciling When Chargebacks Are Netted From Your Deposit","votes":0,"is_published":true,"slug":"reconciling-chargebacks-netted-from-your-deposit","first_category":"Automatic Batch Reconciliation","categories_display_for_views":"Automatic Batch Reconciliation","parent_categories":[1369271],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/automatic-batch-reconciliation/reconciling-chargebacks-netted-from-your-deposit?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"automatic batch reconciliation (abr) assumes standard settlement model cardholder disputes sale, processor withdraws chargeback amount bank account separate debit. processors work differently take daily deposit instead, day chargeback, reaches smaller total. article merchants second group. symptom days actual abr recorded, sweep may hold leftover balance. bookkeeping only. everything page keeping ledger agreement bank. recording biller genie dispute arbitrate anything; still manage payment processor. first choice ask best fix configuration, bookkeeping. partner whether merchant can configured chargebacks drawn separately instead combined batch. support this. settle separately, abr's matches reality exactly reconciles natively, manual work. possible journal entry change keep books straight one small per accounting software. moves accounts recorded real net clears debit / credit (your account) post dated affected settled, memo like \"chargeback netted deposit, invoice #…\" easy trace later. mapped balances, residual balance shows quickbooks online steps click + new \u0026gt; entry. set date batch's date. line 1 choose (bank) enter debits column. 2 credits add referencing invoice, save. desktop note (connected magiccarpet), made company menu make general entries. use two lines, account, conventions. matching short statement reconcile feed, single equals minus chargeback. match it, select entries together clears. (which posts separate-withdrawal assumption), include creating one, clear left sweep. doubt, aim checks matches, returns zero. returned ach payments way. deduct later withdrawing separately. one-entry applies; see section \"if taken deposit\" handling rejects settlement. related articles understanding reading history transaction linking deposits reconciling feeds","categories":{"current":{"id":1369271,"name":"Automatic Batch Reconciliation","url":"/automatic-batch-reconciliation"}},"category_param":"automatic-batch-reconciliation"}},{"question":{"category_id":1369271,"account_id":12867,"created_at":"2026-07-22T18:46:49.437Z","tag_names":["chargeback","charge back","chargebacks","record chargeback","arbitrate","dispute","rebill invoice","returned payments","chargeback sweep","credit card dispute","abr","batch reconciliation","leave lost","won chargeback"],"answer_sample":"When a cardholder disputes a settled sale, your processor pulls the money back ou","long_answer_sample":"When a cardholder disputes a settled sale, your processor pulls the money back out of your bank account. The chargeback feature in Automatic Batch Reconciliation (ABR) records that reality in your books, tracks whether you are fighting the dispute, and rebuilds the receivable if you lose but still intend to collect from your customer. Bookkeeping on","language_id":1,"id":3893601,"last_published_date":"August 3rd, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"cardholder disputes settled sale, processor pulls money back bank account. chargeback feature automatic batch reconciliation (abr) records reality books, tracks whether fighting dispute, rebuilds receivable lose still intend collect customer. bookkeeping only. recording biller genie keeps ledger agreement bank. represent, arbitrate anything, nothing sent gateway processor. manage actual dispute process (evidence, representment, arbitration) directly payment record notifies disputed credit card sale funds (or will be) withdrawn abr assumes standard model leaves separate withdrawal, reduction daily deposit. nets chargebacks deposit instead, see reconciling netted button open transaction's detail page. available enabled required accounts mapped synced. works regardless processed sale. transaction settled, synced yet, shows stays disabled. covered multiple invoices one bulk transaction, attaches underlying transactions. choosing vs clicking gives two choices, hover tooltip explaining does. ask \"are sure\" continuing, decision final. arbitrate. accept loss. closes immediately amount written off. quickbooks journal entry debits returned payments account credits settlement (bank) account, matching withdrawal made. it. case page, resolve later. win, return you; lose, loss recorded then. parks sweep modal do-not-arbitrate choices choose arbitrate, confirmation screen reminds \"don't forget complete — submit them.\" support can download proof authorization (poa) form details page send evidence. resolving pending arbitrated appear status (the filters default). tells ended, click chargeback, either pick outcome. outcome asks final confirmation. action three resolution options won, leave lost, rebill invoice means happens won dispute; you. parking reverses debited credited. recorded. lost pursue amount. recognized posts, new pushed exists again. memos read \"invoice #… due chargeback,\" entries easy trace payment, carries debit pair per transaction. dates use moment resolved chargeback. invoice, creates line using item, net processing fee. memo reads \"rebill #…\". posts synced, syncs normal connected customer, ready pay. customer referencing original genie, flow completes full flow, initiated view takes related articles understanding handling ach rejects setting mappings balances refund (full partial)","name":"Recording Chargebacks in Biller Genie","votes":0,"is_published":true,"slug":"recording-chargebacks-in-biller-genie","first_category":"Automatic Batch Reconciliation","categories_display_for_views":"Automatic Batch Reconciliation","parent_categories":[1369271],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/automatic-batch-reconciliation/recording-chargebacks-in-biller-genie?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"cardholder disputes settled sale, processor pulls money back bank account. chargeback feature automatic batch reconciliation (abr) records reality books, tracks whether fighting dispute, rebuilds receivable lose still intend collect customer. bookkeeping only. recording biller genie keeps ledger agreement bank. represent, arbitrate anything, nothing sent gateway processor. manage actual dispute process (evidence, representment, arbitration) directly payment record notifies disputed credit card sale funds (or will be) withdrawn abr assumes standard model leaves separate withdrawal, reduction daily deposit. nets chargebacks deposit instead, see reconciling netted button open transaction's detail page. available enabled required accounts mapped synced. works regardless processed sale. transaction settled, synced yet, shows stays disabled. covered multiple invoices one bulk transaction, attaches underlying transactions. choosing vs clicking gives two choices, hover tooltip explaining does. ask \"are sure\" continuing, decision final. arbitrate. accept loss. closes immediately amount written off. quickbooks journal entry debits returned payments account credits settlement (bank) account, matching withdrawal made. it. case page, resolve later. win, return you; lose, loss recorded then. parks sweep modal do-not-arbitrate choices choose arbitrate, confirmation screen reminds \"don't forget complete — submit them.\" support can download proof authorization (poa) form details page send evidence. resolving pending arbitrated appear status (the filters default). tells ended, click chargeback, either pick outcome. outcome asks final confirmation. action three resolution options won, leave lost, rebill invoice means happens won dispute; you. parking reverses debited credited. recorded. lost pursue amount. recognized posts, new pushed exists again. memos read \"invoice #… due chargeback,\" entries easy trace payment, carries debit pair per transaction. dates use moment resolved chargeback. invoice, creates line using item, net processing fee. memo reads \"rebill #…\". posts synced, syncs normal connected customer, ready pay. customer referencing original genie, flow completes full flow, initiated view takes related articles understanding handling ach rejects setting mappings balances refund (full partial)","categories":{"current":{"id":1369271,"name":"Automatic Batch Reconciliation","url":"/automatic-batch-reconciliation"}},"category_param":"automatic-batch-reconciliation"}},{"question":{"category_id":1368778,"account_id":12867,"created_at":"2023-05-15T15:30:47.000Z","tag_names":["xero sync","connect xero","xero integration","xero oauth","biller genie xero","xero standard advisor","xero connection","xero troubleshooting","xero authentication unsuccessful","xero invoice errors","xero default payment account","enable payments to this account","xero clearing account","xero payment account","xero bank reconciliation","reconcile xero payments","batch deposits xero","match deposits in xero","reconcile biller genie payments"],"answer_sample":"Connecting Biller Genie to Xero links the two systems through Xero's secure OAuth","long_answer_sample":"Connecting Biller Genie to Xero links the two systems through Xero's secure OAuth authorization flow. Once connected, your customers and invoices stay in sync between the two systems with no manual reconciliation. This article walks through the connection, what happens during the first sync, how to manage the connection day-to-day, and how to troubl","language_id":1,"id":1956641,"last_published_date":"July 31st, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"connecting biller genie xero links two systems xero's secure oauth authorization flow. connected, customers invoices stay sync manual reconciliation. article walks connection, happens first sync, manage connection day-to-day, troubleshoot common errors. start sign merchant portal admin user. access user account standard advisor permissions organization want sync. roles (invoice only, read only) permission authorize genie. connects becomes \"owner\" integration — later removed xero, breaks different reconnect. decide connect multiple organizations one login, choose right authorization. need refunds, sales receipts, automatic batch reconciliation feature parity quickbooks online inside abr (automatic reconciliation), bill parent, features unavailable connected xero. using know exactly supported isn't. portal, click add-ons marketplace. select accounting software category tile (or search \"xero\"). install. redirects page. connect. review requesting (read write contacts, invoices, accounts, items, payments), allow access. returns finishes, see confirmation add-on page data will available throughout portal. pulls order chart accounts revenue, expense, bank, plus types active/archived status. system items creates line needs late fees, technology refunds (if exist already). contacts (customers) active archived including bill-to ship-to addresses, email, phone, contact groups (which map customer genie). open authorised sync; subsequent syncs tracks paid, voided, deleted invoices. fees applies configured outstanding mapped segmentation. api rate-limited 60 requests per minute, paces second requests. typical hundred takes 1 3 minutes. larger company files take proportionally longer. settings anytime interacts auto-sync turn ongoing background off. on, webhooks near-real-time polling fallback runs midnight, 5 am, 11 6 pm utc. turning pauses updates systems. default payment set deposits collected payments. can sales, current asset, income \"enable payments account\" turned (many businesses use dedicated clearing this). without enabled, prompt enable try again. note bank appear list, support enabling saved default. recorded match later; \"reconciling deposits\" below. commodity code unspsc synced retention interval controls often reminds unsynced data. reconciling records collects individual applied invoice posted account. processor funds batches, deposit statement usually covers several create integration), matching screen. makes quick asset named something like \"biller clearing\" genie, (see above). every posts marked paid. appears feed, reconcile screen, tab deducts paying out, add details split transaction full amount coded account, negative expense (your accountant confirm use). reconciled, balance zero. leftover means reached yet, matched. help numbers carries processor's reference (with suffix cc ach), trace single batch. void reopens, voided never linger refresher screen itself, central . managing lets view third-party app within organization. navigation, \u0026gt; apps alongside apps. granted, last disconnect directly canonical, up-to-date instructions disconnecting go revokes token, stops install state clears side. instead (under apps), detects revocation next attempt treats disconnected. existing stays genie; new occur reconnecting originally \"owns\" connection. organization, loses authentication failing error calling getaccounts {\"type\"null,\"title\"\"forbidden\",\"status\"403,\"detail\"\"authenticationunsuccessful\"} fix it, reconnect log troubleshooting errors \"invoice # must unique\" number exists export duplicate number. options change longer conflicts. delete update starting conflict regenerate invoice. \"the discount rate '0.00' invalid\" contains item value. accept rejects export. resolve re-invoice item. discounts another way (using field line, positive nets correctly). \"to fields paid item, supply lineitemid\" occurs re-sync exported updated integration. remove unpaid, alternatively, make necessary changes manually token expired \"authentication unsuccessful\" tokens expire periodically; normally refreshes automatically. refresh fails (typically revoked permissions), breaks. \"reconnecting removed\" section above. pick recent (near-real-time) four times day. webhook missed reason, scheduled catches it. now force immediate frequently asked questions anything authorizes behalf. customers, going forward, writes (mostly fee additions) back data-flow details. selected wrong switch steps above, authorization, let login. sure selecting correct clicking stopped working check three checks (1) still showing (2) setting (3) recently yes, no. time. vice versa), first, now-disconnected system. related articles global defaults","name":"How to Connect Xero","votes":0,"is_published":true,"slug":"syncing-with-xero","first_category":"Accounting Software","categories_display_for_views":"Accounting Software","parent_categories":[1368778],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/accounting-software/syncing-with-xero?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"connecting biller genie xero links two systems xero's secure oauth authorization flow. connected, customers invoices stay sync manual reconciliation. article walks connection, happens first sync, manage connection day-to-day, troubleshoot common errors. start sign merchant portal admin user. access user account standard advisor permissions organization want sync. roles (invoice only, read only) permission authorize genie. connects becomes \"owner\" integration — later removed xero, breaks different reconnect. decide connect multiple organizations one login, choose right authorization. need refunds, sales receipts, automatic batch reconciliation feature parity quickbooks online inside abr (automatic reconciliation), bill parent, features unavailable connected xero. using know exactly supported isn't. portal, click add-ons marketplace. select accounting software category tile (or search \"xero\"). install. redirects page. connect. review requesting (read write contacts, invoices, accounts, items, payments), allow access. returns finishes, see confirmation add-on page data will available throughout portal. pulls order chart accounts revenue, expense, bank, plus types active/archived status. system items creates line needs late fees, technology refunds (if exist already). contacts (customers) active archived including bill-to ship-to addresses, email, phone, contact groups (which map customer genie). open authorised sync; subsequent syncs tracks paid, voided, deleted invoices. fees applies configured outstanding mapped segmentation. api rate-limited 60 requests per minute, paces second requests. typical hundred takes 1 3 minutes. larger company files take proportionally longer. settings anytime interacts auto-sync turn ongoing background off. on, webhooks near-real-time polling fallback runs midnight, 5 am, 11 6 pm utc. turning pauses updates systems. default payment set deposits collected payments. can sales, current asset, income \"enable payments account\" turned (many businesses use dedicated clearing this). without enabled, prompt enable try again. note bank appear list, support enabling saved default. recorded match later; \"reconciling deposits\" below. commodity code unspsc synced retention interval controls often reminds unsynced data. reconciling records collects individual applied invoice posted account. processor funds batches, deposit statement usually covers several create integration), matching screen. makes quick asset named something like \"biller clearing\" genie, (see above). every posts marked paid. appears feed, reconcile screen, tab deducts paying out, add details split transaction full amount coded account, negative expense (your accountant confirm use). reconciled, balance zero. leftover means reached yet, matched. help numbers carries processor's reference (with suffix cc ach), trace single batch. void reopens, voided never linger refresher screen itself, central . managing lets view third-party app within organization. navigation, \u0026gt; apps alongside apps. granted, last disconnect directly canonical, up-to-date instructions disconnecting go revokes token, stops install state clears side. instead (under apps), detects revocation next attempt treats disconnected. existing stays genie; new occur reconnecting originally \"owns\" connection. organization, loses authentication failing error calling getaccounts {\"type\"null,\"title\"\"forbidden\",\"status\"403,\"detail\"\"authenticationunsuccessful\"} fix it, reconnect log troubleshooting errors \"invoice # must unique\" number exists export duplicate number. options change longer conflicts. delete update starting conflict regenerate invoice. \"the discount rate '0.00' invalid\" contains item value. accept rejects export. resolve re-invoice item. discounts another way (using field line, positive nets correctly). \"to fields paid item, supply lineitemid\" occurs re-sync exported updated integration. remove unpaid, alternatively, make necessary changes manually token expired \"authentication unsuccessful\" tokens expire periodically; normally refreshes automatically. refresh fails (typically revoked permissions), breaks. \"reconnecting removed\" section above. pick recent (near-real-time) four times day. webhook missed reason, scheduled catches it. now force immediate frequently asked questions anything authorizes behalf. customers, going forward, writes (mostly fee additions) back data-flow details. selected wrong switch steps above, authorization, let login. sure selecting correct clicking stopped working check three checks (1) still showing (2) setting (3) recently yes, no. time. vice versa), first, now-disconnected system. related articles global defaults","categories":{"current":{"id":1368778,"name":"Accounting Software","url":"/accounting-software"}},"category_param":"accounting-software"}},{"question":{"category_id":1368778,"account_id":12867,"created_at":"2026-05-22T17:31:12.682Z","tag_names":["accounting integrations","supported integrations","quickbooks online","qbo","quickbooks desktop","qbd","magiccarpet","xero","middleware integration","acculynx","servicetitan","serviceminder","autotask","jobber","housecall pro","jobtread","buildertrend","jobnimbus","joist","service fusion","lmn","fieldedge","request integration","third party software","accounting sync direction","payment sync back","two-way sync","one-way sync"],"answer_sample":"Biller Genie connects directly to three accounting platforms: QuickBooks Online, ","long_answer_sample":"Biller Genie connects directly to three accounting platforms: QuickBooks Online, QuickBooks Desktop (through MagicCarpet), and Xero. If you run another piece of software for jobs, dispatch, project management, or field service, you can still get Biller Genie's automation by using QuickBooks as the layer in between. This page is the canonical referen","language_id":1,"id":3826907,"last_published_date":"July 31st, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"biller genie connects directly three accounting platforms quickbooks online, desktop (through magiccarpet), xero. run another piece software jobs, dispatch, project management, field service, can still get genie's automation using layer between. page canonical reference integrations supported, data flows, expect each, request something yet. sections, one native , desktop, middleware acculynx, servicetitan, serviceminder, jobber, autotask, housecall pro, more. see integration submit will route right product team. built around accounts-receivable workflow inside system. tier-one engineering attention, deepest two-way sync. at-a-glance comparison capability online (magiccarpet) xero customer sync (two-way) yes invoice (authorised invoices, drafts) payments push back (recorded payment line invoice) voids (wave 1 live) (qbdv4 only, callout below) refunds (full + partial, gaap items) only) chart accounts mapping automatic batch reconciliation sales receipts multi-currency (standard qbo support) qbd (bg surface fx) sub-customers (parent / child) configurable (one level via projects) custom fields invoices (po number mappable) late fees added lines technology (dual pricing surcharging) timing real-time webhooks polled every 4 hours default webhook 4× daily polling fallback lives cloud windows pc running magiccarpet feature-complete genie. choice platforms, path least resistance. syncs customers billing shipping addresses, email, phone open recently paid items (income, expense, bank, accounts) products services recent transaction activity (so know paid) mapped po number, enabled collected (credit card, ach, alternative methods), recorded routed undeposited funds account refunds, posted credit memos returning original owner refunded taxes proportioned tax authority proper treatment voids, gateway id written description audit trail email cc emails new created genie, optional numbers fast changes flow real time intuit (typically within seconds) immediately capture runs case missed manual add-on need connect admin user (intuit requires role oauth authorization) login manages multiple companies, company selected authorization confirmation migration coming (see migrating ) known limitations connected platform time. disconnecting disconnects payments, since rely oauth. system item like \"late fee\" \"refund\" unmapped accounts, fee type fail mapped. . business-to-business processing set commodity code qualify cedp 2-3 interchange savings. configure settings article detailed setup walkthrough syncing (via magiccarpet) local machine, talk service directly. small application alongside bridges two. installed file linked, flows automatically, way. \u0026amp; (including creates fee, convenience refund, surcharge, third party transaction) customers, including parent sub-customer relationships types refund deleted records, re-sync qbdv3 versus qbdv4 void difference feature. qbdv3, processed write desktop. upgrade free active subscribers, book subscriber success subscribersuccess@billergenie.com walk it. delta default. page. first pulls history chunks (5,000 records per default; reduce memory-constrained pcs). path. polls window. 10 newer (no mac support, windows) premier, enterprise unique linking merchant portal, pasted app single-user mode first-time (multi-user works afterward) available approve certificate reliable internet connection pc, must install account, magiccarpet. moving different computer fresh deactivates old pc. asleep window, waits awake running. version move require re-authorization. reconnecting full-history resync gated behind superuser-only switch hidden standard contact one. initiating full troubleshooting hosting host rightworks, rightworks environment instead rightworks-specific setup. fully supported invoice-and-payment automation, smaller feature quickbooks. evaluating depend sync, receipts, reconciliation, better fit. contacts (customers) authorised (drafts skipped purpose); paid, voided, tracked thereafter (revenue, bank archived state groups, segmentation projects, appear deep) updates direction pushes; pulled genie) additional adding side (rather separate object) automatically category, exist near four times midnight, 5 am, 11 6 pm utc now button always throttles 60 requests minute, takes 3 minutes typical advisor permissions (invoice read roles authorize) covers organizations, organization whoever becomes owner. later removed organization, breaks reconnect. important gaps deliberate integration. bugs, roadmap items. hard requirement you, choose instead. synced. issue record matching manually. models rather object. available. abr intentionally add-ons marketplace accounts. reconcile deposits manually bill individually rolling invoice. supported. use xero's fields. perform fx conversion; raw amounts as-is. attachments forwarded xero, add per-line codes surfaced. inherit setting configured edits fail. rejects line-item invoices. remove edit. self-service. success. day-to-day usage plenty subscribers field-service, project, job-management tool front business, buildertrend, others, financial though direct tools, letting them. pattern create third-party (jobber, etc.). pushes support automatically. picks next (within seconds qbo, 4-hour window qbd). reminders, autopay, paper mail, enabled. pays, collects status quickbooks, loop closes shows work. pull brief step mark (a quick periodic usually clicks). well keep operating team knows. collections acceptance. remains source truth books. thing verify whether section answers major players. payment-sync matrix table summarizes talks question determines step. links lead vendor's documentation. notes acculynx (roofing) (real-time) (automatic) two-way. job file. buildertrend (construction) marking triggers update paid. autotask psa (it services, datto kaseya) (polled) payment. invoice, apps separately. jobnimbus (roofing contracting) back; one-way not. pick pro (home services) (automatic jobs) match without creating duplicate, action serviceminder (franchise (on approval) toggle \"import payments\" back. class tracking territory servicetitan commercial (real-time batch) configurable. tokenized complicate pullback semantics, behavior jobtread two-way) marketed real-time. specific payment-status explicitly documented, jobtread. qbd. jobber (field service) (one-way push) documents plainly \"payments jobber.\" joist (contractor trades) (estimates either direction. logging required joist. fusion (hvac, unconfirmed among subscribers. setup; configurations reported overwrite match. landscape management network (lmn) treat unless confirm otherwise lmn. dynascape manage360 (landscape cad ops) connector) operational connector fieldedge likely frequently asked about. relying means vendor automatic. depends side. human take action. documented exist. heard referenced able published documentation, committing workflow. per-vendor detail contracts, (web connector, 10-minute minimum interval) net effect acculynx. overview · best practices clients, subcontractors, vendors, bills, deposit memos, clock entries estimates, budget actuals. \"once marked trigger response paid.\" automation; buildertrend. advanced regular intervals writes \"updates received online.\" kaseya splits transfer, expense transfer), separately provisioned helpdesk. best-practice external field. provided transfer confirmed services. docs kb strict hierarchy (contacts → jobs estimates payments). offers chosen land funds. draft-status variant want automation. items, connected. pulling per-payment duplicate. pre-integration push. hear weekly. collection managing publishes write-offs, approval. back, checkbox called toggled on. on, write-offs entered (which includes everything sends) serviceminder. connecting purchase orders, job-cost data, information two-way; real-time). catch tokenizes effectively sees record, semantics originating outside servicetitan. recognized gl names exactly naming fails. home markets expenses, employee entries, two systems. enumerated jobtread's public docs, integrates only; natively. auto-created transaction. timesheets states show balance remain same.\" creation; afterward close routine (we suggest weekly) office marks paid-invoices report. faqs auto-creates missing. currently synced log synced.\" direction, purely documents-out self-employed supported; online. workable low-volume subscribers; math worth committing. fusion, lmn, dynascape, fieldedge, others tools often way up, verify-first ask directly, pullback. task. whole 15 week mid-volume business. report (or same) period last reconciled. software, closed gross amount. supports csv import generate go. saved-search tip save view date (such \"since 7 days ago\"). click rebuilding business list, tell goes team's queue reviewed category. context give, easier scope prioritize.   form short. name role, industry, size, volume, critical workaround today, co-development arrangement accelerate questions optional, name, criticality, openness, required. happens submission opens linear feedback seconds. reviews submissions batches groups vendor. high-signal request, case, serious volume transactions, openness arrangement, moves scoring. matches roadmap, estimated timeline. things faster large enough responsive enough, sometimes partnering build. tick \"yes\" \"maybe\" table. follow looks like. related articles (resync all) funding timeframes method","name":"Supported Accounting-Software Integrations","votes":0,"is_published":true,"slug":"supported-accounting-software-integrations","first_category":"Accounting Software","categories_display_for_views":"Accounting Software","parent_categories":[1368778],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/accounting-software/supported-accounting-software-integrations?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"biller genie connects directly three accounting platforms quickbooks online, desktop (through magiccarpet), xero. run another piece software jobs, dispatch, project management, field service, can still get genie's automation using layer between. page canonical reference integrations supported, data flows, expect each, request something yet. sections, one native , desktop, middleware acculynx, servicetitan, serviceminder, jobber, autotask, housecall pro, more. see integration submit will route right product team. built around accounts-receivable workflow inside system. tier-one engineering attention, deepest two-way sync. at-a-glance comparison capability online (magiccarpet) xero customer sync (two-way) yes invoice (authorised invoices, drafts) payments push back (recorded payment line invoice) voids (wave 1 live) (qbdv4 only, callout below) refunds (full + partial, gaap items) only) chart accounts mapping automatic batch reconciliation sales receipts multi-currency (standard qbo support) qbd (bg surface fx) sub-customers (parent / child) configurable (one level via projects) custom fields invoices (po number mappable) late fees added lines technology (dual pricing surcharging) timing real-time webhooks polled every 4 hours default webhook 4× daily polling fallback lives cloud windows pc running magiccarpet feature-complete genie. choice platforms, path least resistance. syncs customers billing shipping addresses, email, phone open recently paid items (income, expense, bank, accounts) products services recent transaction activity (so know paid) mapped po number, enabled collected (credit card, ach, alternative methods), recorded routed undeposited funds account refunds, posted credit memos returning original owner refunded taxes proportioned tax authority proper treatment voids, gateway id written description audit trail email cc emails new created genie, optional numbers fast changes flow real time intuit (typically within seconds) immediately capture runs case missed manual add-on need connect admin user (intuit requires role oauth authorization) login manages multiple companies, company selected authorization confirmation migration coming (see migrating ) known limitations connected platform time. disconnecting disconnects payments, since rely oauth. system item like \"late fee\" \"refund\" unmapped accounts, fee type fail mapped. . business-to-business processing set commodity code qualify cedp 2-3 interchange savings. configure settings article detailed setup walkthrough syncing (via magiccarpet) local machine, talk service directly. small application alongside bridges two. installed file linked, flows automatically, way. \u0026amp; (including creates fee, convenience refund, surcharge, third party transaction) customers, including parent sub-customer relationships types refund deleted records, re-sync qbdv3 versus qbdv4 void difference feature. qbdv3, processed write desktop. upgrade free active subscribers, book subscriber success subscribersuccess@billergenie.com walk it. delta default. page. first pulls history chunks (5,000 records per default; reduce memory-constrained pcs). path. polls window. 10 newer (no mac support, windows) premier, enterprise unique linking merchant portal, pasted app single-user mode first-time (multi-user works afterward) available approve certificate reliable internet connection pc, must install account, magiccarpet. moving different computer fresh deactivates old pc. asleep window, waits awake running. version move require re-authorization. reconnecting full-history resync gated behind superuser-only switch hidden standard contact one. initiating full troubleshooting hosting host rightworks, rightworks environment instead rightworks-specific setup. fully supported invoice-and-payment automation, smaller feature quickbooks. evaluating depend sync, receipts, reconciliation, better fit. contacts (customers) authorised (drafts skipped purpose); paid, voided, tracked thereafter (revenue, bank archived state groups, segmentation projects, appear deep) updates direction pushes; pulled genie) additional adding side (rather separate object) automatically category, exist near four times midnight, 5 am, 11 6 pm utc now button always throttles 60 requests minute, takes 3 minutes typical advisor permissions (invoice read roles authorize) covers organizations, organization whoever becomes owner. later removed organization, breaks reconnect. important gaps deliberate integration. bugs, roadmap items. hard requirement you, choose instead. synced. issue record matching manually. models rather object. available. abr intentionally add-ons marketplace accounts. reconcile deposits manually bill individually rolling invoice. supported. use xero's fields. perform fx conversion; raw amounts as-is. attachments forwarded xero, add per-line codes surfaced. inherit setting configured edits fail. rejects line-item invoices. remove edit. self-service. success. day-to-day usage plenty subscribers field-service, project, job-management tool front business, buildertrend, others, financial though direct tools, letting them. pattern create third-party (jobber, etc.). pushes support automatically. picks next (within seconds qbo, 4-hour window qbd). reminders, autopay, paper mail, enabled. pays, collects status quickbooks, loop closes shows work. pull brief step mark (a quick periodic usually clicks). well keep operating team knows. collections acceptance. remains source truth books. thing verify whether section answers major players. payment-sync matrix table summarizes talks question determines step. links lead vendor's documentation. notes acculynx (roofing) (real-time) (automatic) two-way. job file. buildertrend (construction) marking triggers update paid. autotask psa (it services, datto kaseya) (polled) payment. invoice, apps separately. jobnimbus (roofing contracting) back; one-way not. pick pro (home services) (automatic jobs) match without creating duplicate, action serviceminder (franchise (on approval) toggle \"import payments\" back. class tracking territory servicetitan commercial (real-time batch) configurable. tokenized complicate pullback semantics, behavior jobtread two-way) marketed real-time. specific payment-status explicitly documented, jobtread. qbd. jobber (field service) (one-way push) documents plainly \"payments jobber.\" joist (contractor trades) (estimates either direction. logging required joist. fusion (hvac, unconfirmed among subscribers. setup; configurations reported overwrite match. landscape management network (lmn) treat unless confirm otherwise lmn. dynascape manage360 (landscape cad ops) connector) operational connector fieldedge likely frequently asked about. relying means vendor automatic. depends side. human take action. documented exist. heard referenced able published documentation, committing workflow. per-vendor detail contracts, (web connector, 10-minute minimum interval) net effect acculynx. overview · best practices clients, subcontractors, vendors, bills, deposit memos, clock entries estimates, budget actuals. \"once marked trigger response paid.\" automation; buildertrend. advanced regular intervals writes \"updates received online.\" kaseya splits transfer, expense transfer), separately provisioned helpdesk. best-practice external field. provided transfer confirmed services. docs kb strict hierarchy (contacts → jobs estimates payments). offers chosen land funds. draft-status variant want automation. items, connected. pulling per-payment duplicate. pre-integration push. hear weekly. collection managing publishes write-offs, approval. back, checkbox called toggled on. on, write-offs entered (which includes everything sends) serviceminder. connecting purchase orders, job-cost data, information two-way; real-time). catch tokenizes effectively sees record, semantics originating outside servicetitan. recognized gl names exactly naming fails. home markets expenses, employee entries, two systems. enumerated jobtread's public docs, integrates only; natively. auto-created transaction. timesheets states show balance remain same.\" creation; afterward close routine (we suggest weekly) office marks paid-invoices report. faqs auto-creates missing. currently synced log synced.\" direction, purely documents-out self-employed supported; online. workable low-volume subscribers; math worth committing. fusion, lmn, dynascape, fieldedge, others tools often way up, verify-first ask directly, pullback. task. whole 15 week mid-volume business. report (or same) period last reconciled. software, closed gross amount. supports csv import generate go. saved-search tip save view date (such \"since 7 days ago\"). click rebuilding business list, tell goes team's queue reviewed category. context give, easier scope prioritize.   form short. name role, industry, size, volume, critical workaround today, co-development arrangement accelerate questions optional, name, criticality, openness, required. happens submission opens linear feedback seconds. reviews submissions batches groups vendor. high-signal request, case, serious volume transactions, openness arrangement, moves scoring. matches roadmap, estimated timeline. things faster large enough responsive enough, sometimes partnering build. tick \"yes\" \"maybe\" table. follow looks like. related articles (resync all) funding timeframes method","categories":{"current":{"id":1368778,"name":"Accounting Software","url":"/accounting-software"}},"category_param":"accounting-software"}},{"question":{"category_id":1368781,"account_id":12867,"created_at":"2026-05-31T02:39:02.419Z","tag_names":["2500 qbo","3171 qbd period locked","5010 qbo stale","6070 qbo","6240 qbo deleted","append line item failed","bg late fee item inactive","dequeue line item sync","invoice update sync failed","late fee not synced","outbound sync queue","qbo line item error","reconcile fees biller genie","returned check fee","surcharge not on quickbooks invoice","technology fee not synced","xero validation error"],"answer_sample":"The Outbound Sync Queue covers the same problem space as the Payment Sync Queue —","long_answer_sample":"The Outbound Sync Queue covers the same problem space as the Payment Sync Queue — Biller Genie trying to push changes back to your accounting software (QuickBooks Online, QuickBooks Desktop, or Xero) and something going wrong — except this queue is specifically about line items that need to be added to existing invoices. The two most common cases: a","language_id":1,"id":3833022,"last_published_date":"May 31st, 2026","last_published_avatar":"\u003cimg class=\"avatar circle\" width=\"96\" height=\"96\" style=\"background: url(\u0026quot;/initials_avatars/TA?bg=e0633a\u0026amp;s=192\u0026amp;fg=fff\u0026quot;) 0% 0% / 96px 96px;\" src=\"https://secure.gravatar.com/avatar/841e7ea85ebda058cdd7ee30638e7bee.png?s=96\u0026amp;d=blank\" /\u003e","last_published_user_name":"Thomas Aronica","indexable_body":"outbound sync queue covers problem space payment — biller genie trying push changes back accounting software (quickbooks online, quickbooks desktop, xero) something going wrong except specifically line items need added existing invoices. two common cases late fee assessed needs original invoice qbo/xero, technology (surcharge / dual pricing fee) applied time appended. report matters shows side missing software, answer lives. model every row collected append books, error message tells fix. find main menu, click reports \u0026gt; queue. page panels (top) currently stuck. daily action list. history (bottom) either synced successfully dequeued. ends genie's manager add-on invoice. appended books reflect it. customer paid credit card surcharging on, surcharge dual-pricing gets item flow back. returned check ach fees rejects, returned-check item. updates biller-genie-local software. note payments (not items) different see . work way cover kinds changes. column id links underlying transaction, invoice, record depending type. deleted invoices, falls plain text. do. example updated 1024 - (or \"sync ...\" side). created entry created. last attempt tried recent still queue, failing repeatedly. desc useful wrong. actions dequeue button rows link removes retry. retries background jobs run schedule online xero 5 minutes. desktop 2 minutes web connector running. fixed retry budget gives n attempts qbo keeps retrying long there. one exception fail \"invoice closed\" (code 3171) auto-dequeue 3 retries, assumption period reopened. stale (over 365 days old) get auto-dequeued 900 \"automatically dequeued due age.\" messages fix \"make sure [late fee] active account\" means adds invoices using dedicated bg software's products \u0026amp; services deleted, renamed, set inactive code 2500. open re-activate settings services. \"bg fee\" fee,\" it, toggle on. lists item, right-click edit, uncheck \"item inactive.\" chart accounts inventory items). account/item, status active. re-activating, next cycle picks queued automatically dequeue. \"the contains invalid format quantity unit price (rate) field\" bad math times equal amount, fields format. 6070. fine; accept try update. qbo. look line. whose × match unusual characters. save. up. \"transaction deleted\" \"object found\" add 6240; 3120; valid modification.\" recreate let line, dequeue, recorded appear qbo/xero manually want systems match. auto-dequeues failed retries. \"stale object\" reference\" edited moment 5010. transient. wait cycle. self-resolves. \"closed transaction edited\" locked containing closed. allow modification including adding 6000; 3171. reopen briefly run, re-close specific make historical remains records show (bg assumes period). \"authentication failed\" oauth disconnect connection broken 3200; \"authenticationunsuccessful\" \"forbidden.\" reconnect add-ons. resume \"account 'xyz' code\" (xero only) account maps longer exists renamed. go add-ons review mapping fee. re-select correct xero, save, will heads permanently. never makes onto accounting-software moves panel timeline \"manually page.\" dequeueing right move already. deliberately voided closed permanently disagree invoice's total this). transient errors (stale object, timeout) inactive\" item; clears itself. authentication failures reconnect; anything fully understand contact support@billergenie.com first. can totals tracks higher amount. mostly fine occasional one-off issues become real reconciliation headache happens frequently example, base lots getting deactivated. recommendation weekly. consistently growing sign things attention (1) configuration issue (fee deactivated, tight, integration disconnected), (2) strategy adjustment. related articles marked configure general (email notification) overview integrations","name":"Outbound Sync Queue: When Late Fees and Technology Fees Don’t Sync","votes":0,"is_published":true,"slug":"outbound-sync-queue","first_category":"Reports \u0026 Dashboards","categories_display_for_views":"Reports \u0026 Dashboards","parent_categories":[1368781],"is_internal":false,"is_private":false,"extra_categories":[],"url":"/reports-and-reconciliation/outbound-sync-queue?from_search=237966377","host":"https://helpcenter.billergenie.com","body_txt":"outbound sync queue covers problem space payment — biller genie trying push changes back accounting software (quickbooks online, quickbooks desktop, xero) something going wrong except specifically line items need added existing invoices. two common cases late fee assessed needs original invoice qbo/xero, technology (surcharge / dual pricing fee) applied time appended. report matters shows side missing software, answer lives. model every row collected append books, error message tells fix. find main menu, click reports \u0026gt; queue. page panels (top) currently stuck. daily action list. history (bottom) either synced successfully dequeued. ends genie's manager add-on invoice. appended books reflect it. customer paid credit card surcharging on, surcharge dual-pricing gets item flow back. returned check ach fees rejects, returned-check item. updates biller-genie-local software. note payments (not items) different see . work way cover kinds changes. column id links underlying transaction, invoice, record depending type. deleted invoices, falls plain text. do. example updated 1024 - (or \"sync ...\" side). created entry created. last attempt tried recent still queue, failing repeatedly. desc useful wrong. actions dequeue button rows link removes retry. retries background jobs run schedule online xero 5 minutes. desktop 2 minutes web connector running. fixed retry budget gives n attempts qbo keeps retrying long there. one exception fail \"invoice closed\" (code 3171) auto-dequeue 3 retries, assumption period reopened. stale (over 365 days old) get auto-dequeued 900 \"automatically dequeued due age.\" messages fix \"make sure [late fee] active account\" means adds invoices using dedicated bg software's products \u0026amp; services deleted, renamed, set inactive code 2500. open re-activate settings services. \"bg fee\" fee,\" it, toggle on. lists item, right-click edit, uncheck \"item inactive.\" chart accounts inventory items). account/item, status active. re-activating, next cycle picks queued automatically dequeue. \"the contains invalid format quantity unit price (rate) field\" bad math times equal amount, fields format. 6070. fine; accept try update. qbo. look line. whose × match unusual characters. save. up. \"transaction deleted\" \"object found\" add 6240; 3120; valid modification.\" recreate let line, dequeue, recorded appear qbo/xero manually want systems match. auto-dequeues failed retries. \"stale object\" reference\" edited moment 5010. transient. wait cycle. self-resolves. \"closed transaction edited\" locked containing closed. allow modification including adding 6000; 3171. reopen briefly run, re-close specific make historical remains records show (bg assumes period). \"authentication failed\" oauth disconnect connection broken 3200; \"authenticationunsuccessful\" \"forbidden.\" reconnect add-ons. resume \"account 'xyz' code\" (xero only) account maps longer exists renamed. go add-ons review mapping fee. re-select correct xero, save, will heads permanently. never makes onto accounting-software moves panel timeline \"manually page.\" dequeueing right move already. deliberately voided closed permanently disagree invoice's total this). transient errors (stale object, timeout) inactive\" item; clears itself. authentication failures reconnect; anything fully understand contact support@billergenie.com first. can totals tracks higher amount. mostly fine occasional one-off issues become real reconciliation headache happens frequently example, base lots getting deactivated. recommendation weekly. consistently growing sign things attention (1) configuration issue (fee deactivated, tight, integration disconnected), (2) strategy adjustment. related articles marked configure general (email notification) overview integrations","categories":{"current":{"id":1368781,"name":"Reports \u0026 Dashboards","url":"/reports-and-reconciliation"}},"category_param":"reports-and-reconciliation"}}]