Create paid invoices and record payments in books
Create paid invoices and record payments in books
Your paid payment receipts sometimes never reach your accounting system, leaving invoices unreconciled and stalling month-end close. Create invoices and post payments automatically so books reconcile same day.
Overview
Manual posting of paid receipts creates reconciliation gaps and slows finance close. This flow converts paid receipts into invoices and posted payments automatically, so billing staff reconcile same day and month-end closes faster.