UBIQ Pay - Reporting

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UBIQ PAY 


Ubiq Pay Reporting

 


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Payments 

Follow the steps below to view and export your customer purchases, referred to as Payments in Ubiq Pay.

Step 1: If you have more than one bank account and want to view a particular account only, select your account

Step 2: You can select just one form, or leave blank to select all forms

Step 3: Select your date range to review

Step 4: Click the Search button to show your Payments in that date range

Step 5: You can export your Payments by clicking the Export to Excel button.
Fields exported are:

  • Date
  • Items
  • Account
  • Gross
  • Name
  • Net
  • Email
  • Refunded
  • Form Feature
  • Origin
  • Invoice
  • Status

 

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Payouts 

To reconcile payment into your account - referred to as Payouts in Ubiq Pay - follow the steps below. 

Step 1: If you have more than one bank account and want to view a particular account only, select your account

Step 2: Select your date range to review

Step 3: Click the Search button to show your payouts (deposits into your account) in that date range

Step 4: To see the full reconciliation report, click the Reports button to export a list of what the payment is made up of. Fields include:

  • Account Name
  • Transaction Currency
  • Pay Created
  • Transaction Amount Gross
  • Payout Arrival Date
  • Transaction Amount Net
  • Amount
  • Description
  • Currency
  • Customer Name
  • Status
  • Customer Email
  • Transaction Created
  • Invoice
  • Transaction Type
 

 

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