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  1. ManageMyMatch
  2. Club Roles
  3. Treasurer

Treasurer

Club financial management and reporting

  • Club management of group or team balances
  • What happens to the money in a group or team account?
  • Community Tier House Account Transaction Flow
  • MMM house account club financial arrangement
  • Managing residual balances for past members
  • Can I bulk refund or charge members based on what membership subscription they hold?
  • Top up a members account from the bar
  • How to manually refund a member's club credit balance
  • Member extraction of funds from their club account
  • Club credit account review
  • Can I easily see a monthly summary of Turnover and fees the club has paid?
  • Member club credit balance management
  • What is the integration relationship between ManageMyMatch and ePosNow?
  • How do I refund a Stripe payment back to a member?
  • Understanding Tenders & member balances in ePosNow
  • Transferring club balances from the legacy system to ManageMyMatch
  • Should the club use the Cash or Accrual accounting method?
  • How do I reconcile the ManageMyMatch fee statement with Stripe?
  • How do I reconcile Month End financials between Stripe and our bank account?
  • Cashflow summary
  • Reconciling bank statements with club sales
  • Member credit management
  • Miscellaneous member account adjustments
  • Member balance management options
  • Setting up bar sales discounts
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