In Summary Sync, Synder normally builds summaries automatically based on your chosen summary period — daily, weekly, monthly, or per payout. However, Synder also lets you manually generate a summary for a specific date range …
Category: Choose Sync Mode
Summary Sync: Aggregating Data by Day, Payout, Month, or Custom Periods
This guide explains the available summary aggregation modes in Synder and how they affect accounting records.
Use this guide to understand:
- How each summary mode works
- When to use daily, monthly, per-payout, or manual summaries
- What happens when you switch
How to Change the Sync Mode (Per Transaction Sync ↔ Summary Sync)
This guide is for users who already use Synder and want to change how Synder posts future transactions to your accounting platform when your current sync mode no longer fits your needs.
Synder has two sync modes:
- Per Transaction Sync
How Summary Sync Works: User Guide
- Working with Summary Sync
- How to check Summary Sync is working
- Applying changes to synced summaries
- Important details to know
- I need to change a summary that was already synced
- Frequently asked questions
This guide explains how Summary Sync works …
Per-Transaction mode: Complete Setup & Usage Guide
- What data does Per-Transaction Sync post?
- Getting Started with the Setup
- How to check that Per-Transaction Sync is working correctly
- Changing the mode
- Per-Transaction Sync with QuickBooks
- Per-Transaction Sync with Xero
Per-Transaction Sync is a Synder mode that records each …