Create payout records in project database for audit
Create payout records in project database for audit
Your payout notifications arrive untracked, causing reconciliation delays and unclear cash positions. Create ledger entries on receipt so finance sees settled payouts the same day.
Overview
Unrecorded payouts create reconciliation blind spots and slow month-end close. Capture every completed payout as a database record so finance and business owners gain same-day settlement visibility and faster reconciliation ahead of monthly close.