Finance teams: never miss sales, refunds, or chargebacks
Finance teams: never miss sales, refunds, or chargebacks
Finance managers miss product payments and refunds, causing reconciliation gaps. Consolidated transaction logging keeps your finance dashboard current so managers reconcile revenue impact quickly.
Overview
Missing transaction entries create reconciliation gaps and audit exposure for finance. This workflow ensures every sale, refund, and chargeback is recorded in your finance dashboard, eliminating manual entry and keeping reconciliation and audit trails intact.
Notable Features
- Log payments, refunds, and chargebacks
- Create rows in finance dashboard
- Flag mismatches for accounting review