Business supplies IT: record builder release payments reliably
Business supplies IT: record builder release payments reliably
Finance coordinators at business supplies miss release requests, causing reconciliation gaps and audit risk. It creates payment and holding entries for releases over $0 so finance can reconcile.
Overview
Missed or late release entries create reconciliation headaches and audit exposure for finance in business supplies. This workflow turns every release over $0 into reconciliation-ready payment and holding records so finance can process payouts with confidence and fewer manual fixes.
Notable Features
- Create payment and holding entries
- Validate release amounts before recording
- Link contract reference to transactions