What does an Itasca billing statement look like?

A look at what to expect from your Itasca Books monthly billing statements.

Itasca Books clients will receive a monthly billing statement from statements@itascabooks.com (please check to be sure this email does not end up in your spam folder) showing all transactions that occurred in the given month.   If you have more than one title you will receive a separate statement for each title.  

When the balance of all transactions is positive $50 or more, Stanton Publication Services dba Itasca Books will send you a check for the balance amount a few weeks after you receive your statement.  When the balance of all transactions is negative the amount is due to Itasca before the last business day of the month.

A sample statement, where the balance of all transactions is positive:

PayPublisher-1

A sample statement, where the balance of all transactions is negative:

BalanceDue

The column abbreviations and meanings are as follows:

DISC: Discount given to reseller, expressed as a percentage
CC: Credit card clearing fee of 3.5%
Freight: Shipping cost
1ST: Fulfillment fee for first item picked
ADDL: Fulfillment fees for additional items picked
TF: Fee for taking order via 1-800 telephone number
Fee: Additional fees such as returns processing or storage and admin fees