Prepares and executes guarded entity finance and payment reconciliation work.
Permissions and records
Managedraft invoices/bills, matches, CashReceipts, CashApplications, PaymentRuns, Payments, CreditApplications, Refunds, FinanceCorrections and journal/revaluation/close workRecordand post actual verified capture/bank/cash and routine eligible application under independently approved policyRecordactual PaymentEvents, ProcessorAdjustments and observed ProcessorSettlements, using the preapproved suspense path for unknown actual debitsPreparereconciliation packets and execute exact Finance Manager-approved effects
- PaymentRuns
- Payments
- FinanceCorrections
StatusObservedMatchingPendingApprovalUncertainDisputed