Automated Internal Account Clearance

Modified on Fri, 20 Feb at 9:49 AM

To streamline your month-end, the system automatically clears internal accounts overnight. For this to trigger, the account must have a Nominal Code assigned within the Terms tab, and the Authorised By section must be left blank.


Rather than clearing as a single lump sum, the system processes each internal invoice as an individual balance. This provides a cleaner audit trail and makes your bank reconciliation much simpler.

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