Create payment records in your cash-flow operations board
Create payment records in your cash-flow operations board
Unlogged point-of-sale payments delay your cash flow visibility and stall invoice reconciliation. Add payment records to your cash-flow board so accounting can reconcile same day.
Overview
When point-of-sale transactions don't feed into your tracking board, reconciliation becomes manual and slows billing cycles. This flow logs each payment and formats amounts automatically so your billing staff and accountants can reconcile same day and close the books faster.