Capture donation receipts into accounting for finance teams
Capture donation receipts into accounting for finance teams
Finance teams reconciling donations miss sales receipts, creating reconciliation gaps and reporting risk. Create sales receipts in your accounting system so records are ready for reconciliation.
Overview
Missed sales receipts create reconciliation gaps and audit risk for finance. This workflow captures each successful fundraising payment and generates a sales receipt in your accounting system, ensuring records are ready for reconciliation and reducing manual corrections.
Notable Features
- Create receipts from payment events
- Match receipts to transactions
- Attach donor notes to receipts