Step 3 (Optional): Account & VAT Mapping for UK/EU VAT
Step 5 (QuickBooks): How to Reconcile Journal Entries with Bank Payments
Getting Started with Taxomate
Step 4: Send Settlements/Payouts to Accounting Software
Step 1: Create Account & Select Plan
Step 5 (Xero): How to Reconcile Invoices with Bank Payments
Step 3: Choose Accounts and Payment Settings