Create reverse deposit journal entry for refund notifications
Create reverse deposit journal entry for refund notifications
Your refund webhooks lack a reversed ledger entry, leaving unapplied deposits and reconciliation friction for billing staff. It posts reversing journals so finance can reconcile refunds same day.
Overview
If refund notifications aren’t creating reversing entries, billing teams spend cycle time chasing unapplied deposits. This flow posts the reversing journal and updates the source record so finance can reconcile refunds the same day, reducing month-end surprises.