Docs
Documentation
How Analytir connects, what it reads, and how every number is calculated.
How it works
Analytir connects read-only to Square, with QuickBooks and other platforms in development. It reads transactions and payouts, reconciles what was sold against what was actually deposited, and delivers a brief on the schedule you choose.
Connect your platform from the product, set your cadence and alert preferences, and Analytir handles the rest. A full dashboard is available when you want to drill in.
Setup and access
What Analytir asks for when you connect a platform, and what it does with it.
Using Analytir
How to configure report cadence, brief contents, and alerts.
How the numbers work
Definitions and calculation rules for everything Analytir reports.
Guides
How revenue data actually behaves, and where the common errors come from.
Square Api
Why Square's API can inflate revenue
Failed transactions and UTC date bucketing are the most common ways a Square integration inflates revenue. Here is how both work, and how to correct for them.
Gross Sales
Gross sales vs total collected, explained
Square reports several revenue figures and none is the money that reaches your bank. Here is what each includes, what it leaves out, and which to use.
Square Payouts
Why deposits never match Square sales
The gap between what you sold and what landed in the bank is processing fees, financing withholding, disputes, and timing. Here is how to account for each one.
Coming soon
- API referenceUpcoming
- WebhooksUpcoming