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I wanted to solicite some feedback on the dataflow/business process that you all might be using to reoncile the Card providors statement, to the transactions in Concur to the Payment you make back to the Card provider. Here is our current process, which I feel is a little clumsy and has too many manual touch points. Courious to see what other companies do.
In reading/searching some other posts, it seems some companies use a "clearing" account approach. If you use that, can you walk me through how it works? Does the "SAE" file go right to GL instead of through AP to create the payment?
Can you please share how you are currently doing it and make sure it includes how you get the expense distributions as accurate as possible?
Thanks in advance,
Brian
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@bhargreaves I would suggest requesting to join the Admin Group and make your post there. This forum tends to be read more by end users and not those who would deal with the things you mentioned. The Admin Group is admins only and those who reconcile expenses and work with ERPs. 🙂
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