Storable Payments 2020 Release Notes
December 15, 2020
Filter your transactions list by payment method
If you accept both credit card and ACH payments, you can now filter your Transactions list by payment type from the Payment Method dropdown list. Learn more about where you can find your Storable Payments data in our Storage Forum article.
Additional Fees details available
We added additional details to the Fees page in SiteLink myHub to give you more visibility into the fees you are charged. You can find descriptions of the fees you are charged in our Storage Forum article.
Export your bank activity
You can now export your Deposits list from the CC Deposits and Fees page in SiteLink myHub. Learn more about where you can find your Storable Payments data in our Storage Forum article.
Credit Card on file
The Storable Payments team identified an issue that was occasionally causing tenants’ payments to be charged to a credit card on file despite having submitted different information for payment. We released the fix for this bug on 12/4.
August 5, 2020
Authorization code on Credit Card Receipts
You will now see authorization codes at the bottom of your credit card receipts. This change will only apply to any new credit card receipts after the live update has been run.
July 7, 2020
Transaction Report Updated
We've updated the Transaction Report. Now, it will display "Cardholder name not provided" if this field is left blank
June 23, 2020
Refund a Credit Card payment after the Daily Close
You can now refund a credit card payment on the same day that the payment was made, even after a SiteLink Daily Close has been performed. Users must have both Refund and Ledger Adjustments permissions turned on in order to do this. The SiteLink Daily Close functionality will continue to lock the day’s payments activities for all other users.
Read our updated article on the Storage Forum for more information about how to reverse a payment in SiteLink.
Monthly Statements Support
We've begun billing transaction fees on a monthly basis rather than daily. The Deposit menu has been renamed “CC Deposits and Fees.” You’ll find your Monthly Statement on the “Fees” tab.
myHub Corporate Control Center Payments Reports
We’ve added signature reports in myHub Corporate Control Center. These include daily transactions and credit card deposits, including which transactions make up each deposit.
We have repaired an issue where Credit Card Transactions received an error when the CVV code began with 0.
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