A growing number of ticket events are using TicketSignup’s integrated store to sell items in addition to tickets and generate more revenue. We’ve added a new line item and CSV export to easily reconcile store items included in each payment that your event receives.
To view the ticket store items included in each payout to your event, navigate to your funding account. Click the Payments tab, then View Payments.
Use the date fields to find the payout you want to view. Then click the payment you want to reconcile.
There is now a new line item for Ticket Store Items. Clicking the file will export a line item report that includes payment details about each store purchase.
With integrated payments, TicketSignup makes it easy to reconcile your event revenue with reporting for both tickets and additional items sold through the store.