Create receipts from scanned files into accounting intake

Scanned receipts in your shared scan folder often go unfiled, delaying expense coding. It files receipts into your accounting intake so bookkeepers can reconcile expenses same day.

Create receipts from scanned files into accounting intake

Overview

Scanned receipts piling up in a shared folder slow down reconciliation and vendor payments. This flow captures new scans and files them into accounting so your bookkeeper has complete receipt records within minutes and can close reconciliations same day.

Create receipts from scanned files into accounting intake