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Published byAsher Lindsey Modified over 8 years ago
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Increase the value of Accounts Payable Presenter: Daniel Kimpton
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Agenda Introduction Benefits Solution Overview Live Demonstration Pricing & Free Trial Offer Q&A
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Introduction
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About Us Founded 2013 Parent company ‘Cogent Consulting’ have been implementing Invoice Automation solutions for 10 years As a result customers had more people processing statements than invoices Developed a solution to solve the problem based on customer requirements Customers across the globe
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The Problem with Manual Statement Recons Manual process is very time consuming Can only reconcile small No. of suppliers Tedious & un-popular task with users High volume of invoice status queries from suppliers Invoice processing errors not identified on a timely basis leading to late payments and account stops
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Ensure all credit notes and invoices have been received Identify invoices on the ledger that are not on the statement Identify invoice entry mistakes Invoice # - Increased risk of duplicates Invoice/Credit wrong way round Incorrect Amounts Reduce phone calls from suppliers by sharing status Accurate supplier balances Best practice financial controls Why reconcile statements?
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Benefits
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Automating the Process More time to: Process higher volume of statements Manage the exceptions Resolve exceptions to pay suppliers on time Provide suppliers with invoice status (portal and email) More accurate supplier balances Improve Controls = More Profit Fewer duplicates Never miss a credit note Identify incorrect values Maximise early payment discounts Identify miss-postings before they are paid
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Automating the Process contd. Better role for Accounts Payable users Headcount savings or do more with same resources Raises the profile of AP with the CFO Enables you to be more proactive with suppliers Improve supplier relationships Reduces potential cost of Audit Recovery
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Why chose Statement-Matching.com? Cloud based ~ No IT and system ready to use in 3 days Developed based on feedback from AP users Fully automated reconciliation – Exception only processing Works with paper, pdf and excel statements Supplier’s can access invoice status, exchange messages and upload their own invoices (optional)
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Solution Overview
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Periodic feed from your ERP system(s) Paper and PDF statements uploaded via Managed Service Suppliers or AP users can upload Excel statements directly Getting data into the system
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New statements automatically matched (by vendor and company) Existing statements automatically re-matched on upload of new ERP data Overall status for statement plus status for each line Always looking at most recent statement Previous statements viewed in statement history Reports automatically updated on upload of new ERP data Principles
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What does it look like for AP?
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Dashboard – Key Reports & Statuses
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Search Screen
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Search Results
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Reconciliation Example – Missing Credit Note
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Let’s Look at Some Scenarios 1.Un-paid items on system missing from statement 2.Fully Matched with Data Mismatches – Multiple errors 3.Missing credit note
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Let’s Look at Some Scenarios 1.Un-paid items on system missing from statement
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Un-paid items missing on statement
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Un-paid invoice on the ledger dated prior to the invoices in the statement. Un-paid items missing on statement
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Let’s Look at Some Scenarios 2. Fully Matched with Data Miss-Matches
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Fully Matched with Data Mismatches
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Multiple Errors
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Let’s Look at Some Scenarios 2. Missing Credit
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Incomplete Matching
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Missing Credit Note
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Email PDF Report to Vendor
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Copy of PDF Report the Vendor Sees
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Add Notes to denote action taken Add notes & view existing notes
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Supplier Self-Service Option
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Key Features Invite suppliers via Statement-Matching.com Suppliers can view invoice status Suppliers can submit messages against documents, which are visible to Statement-Matching.com users Suppliers can upload their own statements in Excel or email PDF and Scanned images Suppliers can view reconciliation results
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Supplier Portal Dashboard Suppliers have a single login to view invoice status from all customers who use Statement-Matching.com
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My Invoices View
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Supplier submits message against document
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AP Replies to Message via Statement-Matching.com
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Suppliers can upload their own statements
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Supplier maps Excel columns to correct fields
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Suppliers can view reconciliation immediately
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Reporting
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Reports can be run by company and vendor, sorted and summed Reports can be used to list and manage statements by error reason. Statement Reporting
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Supplier Reporting
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Share statement audit reports with vendors
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Internal/External Audit Report Audit Reports: Statement totals Payment totals Balances Copy of reconciliation and image appended
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Pricing & Free Trial
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Pricing Pricing comprises two components: 1.Monthly Subscription – Fixed monthly cost based on annual volume of invoices processed. 2.Monthly Statements Processed – Variable monthly cost based on volume of statements processed. Commercials: 4 week free trial 30 day rolling agreement
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In Summary Enables you to reconcile more statements Improve profits Proactive with suppliers = Fewer queries Cloud based ~ System available to use in 3 days Get suppliers to reconcile their own account via portal 4 week free trial
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Any Questions? Take advantage of a 4 week free trial daniel.kimpton@statement-matching.com
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