Update invoice records in billing table from point-of-sale
Update invoice records in billing table from point-of-sale
Your invoices aren't reflected in the billing table, forcing billing staff to do manual lookups and delaying collections. Records update automatically so reconciliation can happen same day.
Overview
Invoices that don't land in the billing table force manual lookups and slow collections. This flow writes current invoice status and due dates into your central table so billing staff can reconcile and act the same day.