An example toil
Reconcile expense reports across systems
- Maya R.,
- Devin K.,
- Priya S.,
- Jonah T.,
- Lena O.,
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Team members manually match transactions between the corporate card portal and the accounting system, fix miscategorized charges, and chase missing receipts before month-end close.
Solutions (2)
Possible
Turn on the card provider's accounting sync. It posts each transaction into the ledger with the receipt attached, so month end is a review rather than a rebuild.
1 week ago
Lena O.
The sync skips refunds on my account, so those still need matching by hand.
Rejected
A shared spreadsheet where everyone logs receipts as they go.
1 week ago
Maya R.
We tried this in the spring. It moves the re-keying earlier in the month rather than removing it.
3 Comments
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- 2 weeks ago
Devin K.
Same here. The worst part is the receipts that arrive after close, so the whole reconciliation reopens.
31 reply2 weeks agoMaya R.
Right, and the card portal export drops the merchant name on refunds, so those have to be matched by amount.
0 - 1 week ago
Priya S.
Two hours is on the low side for me. Around quarter end it is closer to a full morning.
1