#createitcarlos - Payments
1 messages · Page 1 of 1 (latest)
Hello! For your first question Stripe support should be contacted for questions about fees and reconciliation: https://support.stripe.com/contact/email
For your second question, it sounds like you might want to add metadata to the Payment Intents in question: https://stripe.com/docs/api/payment_intents/create#create_payment_intent-metadata
We are looking at doing that, but is Meta data filterable?
Also, would Metadata be easier than creating separate accounts for each app type?
Example: POS vs online sales
Recommendations?
Well, let's back up a bit. You mentioned categorizing per software program... are these completely different programs with different websites and everything?
So, we have in-house built Kiosk in which we are currently developing for the Stripe terminal.
We are also looking at switching our current payment gateway to Stripe. Our finance department would like to see those come in for accounting purposes as two different categories or filterable options for payouts/payment reconciliation purposes and accounting.
We are buliding on the Server driven solution so we can extend our apps to use the same system. We also have third party systems in which we use for donations that also use Stripe as their payment gateway, hence why it is becoming a bit of a headache for our Finance department to reconcile and account for how the funds should be allocated within the organization
It sounds like you should have several separate Stripe accounts for this, yeah. We have some details and guidance here for multiple Stripe accounts: https://stripe.com/docs/multiple-accounts