Hi, in order to balance our books we need to find out which portion of each payout in our bank account constitutes HST (canadian sales tax). Every company that uses accrual account must need this so it has to exist, as a deposit into the cash triggers a debit to the cash account and a credit to liability account called HST and an debit to the expense account called fees.
We have contacted Shopify support, but they keep pointing us to the Finance reports, which is not what we need. There simply *has* to be a simple way to balance the books per payout given that there must be thousands of companies in the same boat as us.
Is there a level of support at shopify that specializes in accounting issue?