When entering ACH or credit card payments in the Receive Money or Sales/Invoicing windows, you must select a cash account to record the deposit.
When you sign up for a merchant service to authorize and process your business credit card payments, that merchant service provider will arrange for ACH or credit card funds to be collected and transferred into your business's bank account at some point. Contact your merchant service provider to determine when funds are deposited into your business's checking account.
In Sage 50, you have several choices for selecting the required cash account, depending on when credit card funds are settled by your merchant service provider and deposited into your business checking account.
Note: If you authorize transactions using Sage Exchange all authorized transaction amounts will be processed (settled) by the gateway payment service at the daily Batch Settlement Time you have set up. The default Batch Settlement Time is approximately 3:00 A.M. (Eastern time) each day that authorizations are requested, which can be changed to suit your business needs. Funds will be deposited to your account within five business days of the date of the batch settlement.