Creating ActBlue Conduit Transaction Deposits After An Import

One of the many ways transactions can be received and entered into the ISP system is through the ActBlue integration. After they have been imported into the system, you have the option of recording the ActBlue conduit deposit separate from the rest of the undeposited transactions.

On the Deposit screen, you’ll see a list of transactions ready to be deposited. If any of the contributions are part of an ActBlue conduit contribution, ensure the checkbox next to the transaction(s) in question is selected, then click the Record ActBlue Conduit Check button at the bottom of the screen.

In the window that appears, you’ll have the option of setting the Check DateCheck AmountElection, and Budget Category.

When determining the date to use for the whole, you should use the day the money was deposited into your account. 

Once you’ve added the applicable details, click the Add button.

This will direct you to the Edit Transaction screen where you’ll need to complete the main transaction details. You’ll notice, however, that most of the main details are filled in, and also the transactions you selected from the Deposit screen are showing as Splits.

After entering in all the details, choose either Save or Save & New at the bottom to finalize and add the ActBlue deposit to the system.

You can also integrate your ActBlue and ISPolitical accounts to make data entry easier! You can learn how to set that up here.