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adopt a process for reconciling books #367

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chadwhitacre opened this issue Oct 9, 2015 · 5 comments
Closed

adopt a process for reconciling books #367

chadwhitacre opened this issue Oct 9, 2015 · 5 comments

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@chadwhitacre
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Probably on a monthly basis, once they're reconciled initially.

@chadwhitacre
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Looking at this with @kaguillera. We're thinking of this in terms of improvements to:

http://inside.gratipay.com/appendices/finances

@chadwhitacre
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PR started in #390.

This was referenced Nov 16, 2015
@techtonik
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What is this "book reconciliation" in layman terms? (looking at #418)

@chadwhitacre
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Closing in favor of #390.

@chadwhitacre
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@techtonik Reconciling books means cross-checking various accounting systems, in our case, these three:

  • payment processor statements
  • our bank statements
  • the Gratipay.com database

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