Authorize.net Reconcile
Is there an automated way to reconcile EventCORE fund table with Authorize.net?
How do I handle the difference in batch dates.
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- Check if there is a way to get back a "batch ID" from authorize.net that will allow for transactions to better match up.
- This document explains how to do this on the authorize.net side: http://developer.authorize.net/api/transaction_details/
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