Create fee ledger rows from new online payments
Create fee ledger rows from new online payments
Your payment records and fees are scattered across dashboards, delaying reconciliation. Consolidated rows give your billing team one ledger to reconcile and close statements same day.
Overview
Missed or scattered fee records slow month-end close and force manual reconciliation. This flow captures every payment and its processing fee into a single finance worksheet so billing coordinators can reconcile and close statements the same day.