Finance coordinators capture claim transactions for commission reconciliation
Finance coordinators capture claim transactions for commission reconciliation
Finance coordinators receiving claim webhooks miss commission entries and create reconciliation gaps, risking audits. Create standardized claim transactions on receipt so reconciliations run smoothly.
Overview
Missed commission entries and reconciliation gaps create audit and payout risk for finance. This workflow captures every external claim webhook and turns it into a standardized transaction record, eliminating reconciliation guesswork and preserving audit trails. Finance leaders benefit from cleaner records and fewer manual corrections during close.
Notable Features
- Create standardized transaction records
- Validate and format claim amounts
- Alert finance on posting exceptions