Has anyone had success in finding a way to match the daily sales reports to the payouts? We are in California and our sales are captured in the PST time zone, but our payouts are batched in the UTC time zone (which makes no sense). Because of this, the reports never match and it's been extremely difficult to match to our bank. I've read several other threads where users have complained of the same issue.
Who has had success in troubleshooting this and what did you do? Thank you so much!