Z Balance and Banking Report Does Not Match

Barclays
The Z Balance report totals give you a total of all transactions done across all acquirers. The Banking report totals give you the total for each acquirer. You should try to add up all the individual totals across all acquirers on the Banking to try to reconcile with the Z Balance total. The current session totals on the Banking shows all transactions for that session – if you perform the Z Balance and Banking at the same time every trading day this should match the totals on the Z Balance. If you still cannot match the totals you should contact the terminal Helpdesk. Please ensure that you have all relevant reports with you when you call. It is possible that you will be asked for the proceeding day’s reports as well.

What do you think?

Leave a Reply

Your email address will not be published. Required fields are marked *


Insights

More Related Articles

Barclaycard ePDQ Payment Gateway Closure: What UK Merchants Must Do Before March 2026

Best Card Machines for Small Businesses in the UK (2025 Guide)

Why Thomson TV & Video Switched to PayNetWorx—and Loved It