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    <title>topic Re: Best practices for handling deposits in Integration and Testing</title>
    <link>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/77710#M48736</link>
    <description>&lt;P&gt;&lt;SPAN&gt;If you run a small retail outlet in the local mall, your days might be hectic. Depositing, counting and balancing your cash should follow a strict schedule. Work that routine around your busy times of day.&lt;/SPAN&gt;&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;&lt;FONT color="#333333"&gt;&lt;A href="https://www.mybalancenow.run/" target="_self"&gt;&lt;SPAN&gt;MyBalanceNow&lt;/SPAN&gt;&lt;/A&gt;&lt;/FONT&gt;&lt;/P&gt;</description>
    <pubDate>Tue, 03 Aug 2021 04:51:13 GMT</pubDate>
    <dc:creator>Jone875</dc:creator>
    <dc:date>2021-08-03T04:51:13Z</dc:date>
    <item>
      <title>Best practices for handling deposits</title>
      <link>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/76979#M48158</link>
      <description>&lt;P&gt;We offer reusable containers to our customers for a small fee, and if they return the container we return the fee.&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;For orders that are placed using cards, I'm wondering what the best way to handle this is.&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;The solutions that I have in mind are&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;1. Create an authcapture transaction for product and the container fee, and then refund the fee later&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;2. Create an authcapture transaction for the product, and then an authonly transaction for the fee, so that when the container is not returned we would then manually capture it&lt;/P&gt;</description>
      <pubDate>Wed, 23 Jun 2021 20:29:26 GMT</pubDate>
      <guid>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/76979#M48158</guid>
      <dc:creator>mxldevs</dc:creator>
      <dc:date>2021-06-23T20:29:26Z</dc:date>
    </item>
    <item>
      <title>Re: Best practices for handling deposits</title>
      <link>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/77695#M48724</link>
      <description>&lt;P&gt;The first thing you should do is review your current cash&lt;BR /&gt;handling process. What do your cashiers do when they&lt;BR /&gt;accept cash? How do they make change?&lt;BR /&gt;Your cash handling process also includes steps such as&lt;BR /&gt;counting tills before and after shifts, preparing floats, and&lt;BR /&gt;making pickups from tills during shifts. When the till moves to&lt;BR /&gt;the cash office, there will be additional steps in the process.&lt;BR /&gt;Someone there will count the till and reconcile it with other&lt;BR /&gt;statements.&lt;BR /&gt;These cash managers will also prepare cash for bank deposits&lt;BR /&gt;and ensure cash is stored safely. They’re also in charge of the&lt;BR /&gt;paper trail.&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;</description>
      <pubDate>Mon, 02 Aug 2021 11:09:24 GMT</pubDate>
      <guid>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/77695#M48724</guid>
      <dc:creator>Jone875</dc:creator>
      <dc:date>2021-08-02T11:09:24Z</dc:date>
    </item>
    <item>
      <title>Re: Best practices for handling deposits</title>
      <link>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/77710#M48736</link>
      <description>&lt;P&gt;&lt;SPAN&gt;If you run a small retail outlet in the local mall, your days might be hectic. Depositing, counting and balancing your cash should follow a strict schedule. Work that routine around your busy times of day.&lt;/SPAN&gt;&lt;/P&gt;&lt;P&gt;&amp;nbsp;&lt;/P&gt;&lt;P&gt;&lt;FONT color="#333333"&gt;&lt;A href="https://www.mybalancenow.run/" target="_self"&gt;&lt;SPAN&gt;MyBalanceNow&lt;/SPAN&gt;&lt;/A&gt;&lt;/FONT&gt;&lt;/P&gt;</description>
      <pubDate>Tue, 03 Aug 2021 04:51:13 GMT</pubDate>
      <guid>https://community.developer.cybersource.com/t5/Integration-and-Testing/Best-practices-for-handling-deposits/m-p/77710#M48736</guid>
      <dc:creator>Jone875</dc:creator>
      <dc:date>2021-08-03T04:51:13Z</dc:date>
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