Add received bank payments to matching invoice records

Your bank transactions aren't linked to invoice records, so billing staff must reconcile payments manually. It posts matched payments to invoices so finance can reconcile same day.

Add received bank payments to matching invoice records

Overview

Unmatched bank receipts force billing staff into manual reconciliation and slow AR close. This workflow posts incoming payments to matched invoices automatically, giving finance same-day reconciliation and clearer cash visibility.

Add received bank payments to matching invoice records