Balance Sheet Reconciliation
Automate comission payouts identification, calculate commision rates and post journals to ERP.
Sync accounts receivable details for sales transactions.
Determine which line items are subject to commission payouts.
Applies agreed commission rates to revenue line items to calculate the commission owed.
Calculate the commissions payout due for the specified rate and sales amount.
Automate the journal preparation for accured commission payout.
Automate journal posting to the ERP after approval.