Keep engineering finance ledgers accurate for carrier-paid events
Keep engineering finance ledgers accurate for carrier-paid events
Engineering misses carrier-paid events, causing reconciliation gaps and audit risk. Recorded carrier payout transactions give finance accurate ledgers so accountants can reconcile before close.
Overview
Missed carrier-paid events create reconciliation gaps and increase audit exposure for finance and engineering. This workflow records carrier payout transactions in your ledger as events occur, creating accurate records and clear audit trails. Engineering and accounting gain faster reconciliation, fewer manual adjustments, and cleaner month-end reporting.
Notable Features
- Create payout ledger entries
- Match payouts to invoices
- Notify accounting on exceptions