{"id":4362,"date":"2025-04-08T07:18:51","date_gmt":"2025-04-08T07:18:51","guid":{"rendered":"https:\/\/hub4commerce.com\/solution\/ecommerce-site-bank-journal\/"},"modified":"2025-07-24T15:38:31","modified_gmt":"2025-07-24T15:38:31","slug":"ecommerce-site-bank-journal","status":"publish","type":"solution","link":"https:\/\/hub4commerce.com\/en\/solution\/ecommerce-site-bank-journal\/","title":{"rendered":"Ecommerce site bank journal"},"content":{"rendered":"<p>Reconciling payments made on an ecommerce site with transfers made by online payment platforms is a long and tedious process. Accounting firms are often unaware of how an e-commerce site works, and of the wealth of APIs available. IT specialists are often unaware of the basics of accounting and overlook this aspect when deploying an ecommerce site. Our ETL solution performs this task and provides a ready-to-use bank journal that can be imported as is into your accounting software.<\/p>\n","protected":false},"featured_media":0,"template":"","meta":{"_acf_changed":false,"neve_meta_sidebar":"","neve_meta_container":"","neve_meta_enable_content_width":"","neve_meta_content_width":0,"neve_meta_title_alignment":"","neve_meta_author_avatar":"","neve_post_elements_order":"","neve_meta_disable_header":"","neve_meta_disable_footer":"","neve_meta_disable_title":"","neve_meta_reading_time":""},"class_list":["post-4362","solution","type-solution","status-publish","hentry"],"acf":[],"_links":{"self":[{"href":"https:\/\/hub4commerce.com\/en\/wp-json\/wp\/v2\/solution\/4362","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/hub4commerce.com\/en\/wp-json\/wp\/v2\/solution"}],"about":[{"href":"https:\/\/hub4commerce.com\/en\/wp-json\/wp\/v2\/types\/solution"}],"version-history":[{"count":0,"href":"https:\/\/hub4commerce.com\/en\/wp-json\/wp\/v2\/solution\/4362\/revisions"}],"wp:attachment":[{"href":"https:\/\/hub4commerce.com\/en\/wp-json\/wp\/v2\/media?parent=4362"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}