Payouts now split bundle revenue for your books
If you sell a campaign two ways — say a “PTSA Membership” that’s part of a Family Membership bundle and also sold on its own — your payout report used to lump all of that revenue into one line. There was no way to tell how much came from the bundle versus the standalone sale, so if your accounting books those as separate income lines, you were stuck reconstructing the split order by order.
Now, on the Payout page (Orders & Payouts > Payouts), each campaign’s row still shows the full total that matches your deposit, but underneath it you’ll see smaller rows breaking that total down by source: the name of the bundle it came through, or “Purchased on its own.” It only shows up for campaigns that were actually sold both ways, so most payouts look exactly like before.
Need it in a spreadsheet? Look for Export Bundle Summary under Actions on the Payout page — it downloads a CSV with a row for each campaign and source. The Reconciliation Detail export also picked up a new Bundle column, so you can sort or filter individual orders by which bundle they came from.
This one came straight from a treasurer’s request — thank you to Monte Vista PTSA for flagging it.