Product overview
See Accounting in action
This overview walks through the core Accounting workflows in ServiceTitan, from sending invoices and collecting payments to syncing data with your accounting software.
Setup
Set up the core accounting configuration in ServiceTitan to start invoicing customers, collecting payments, and managing your financial transactions accurately.
Setup checklist
Understand the basic principles of accounting to help you set up your workflows and processes.
Review your general ledger account settings
Ensures your transactions are categorized accurately and your financial reports align with your accounting system.
Define due dates for sales invoices and vendor bills to manage payment collection and disbursement accurately.
Customize your invoice print template
Add your company logo, message, phone number, and web address to invoice and estimate templates.
Review your customer invoice configurations
Determine what information to include on invoices, such as technician name, member savings, and more.
Review your invoice signature settings
Determine whether to require technicians to collect invoice signatures to close out a job.
Required permissions
The Accounting module permission is required to set up and use accounting features. Contact your account administrator to have this permission enabled.
Once setup is complete
Start invoicing customers, collecting payments, managing vendor bills, and syncing financial data with your accounting software.
Key workflows
Core workflows for managing your accounting activities in ServiceTitan.
Accounts Receivable
Handle incoming revenue — invoices, customer payments, and bank deposits.
Invoicing
Payments
Payment terms
AR transaction reporting
Accounts Payable
Monitor all outgoing expenses — bills, vendor credits, and vendor payments.
Journal entries
Record financial transactions and manage your company's financial data accurately.
Accounting integrations
Sync your data between ServiceTitan and your accounting software.
Available integrations
Touchless Integration
Avalara integration
Financial controls
Manage accounting periods and maintain transparency with an audit trail.
Refunds and adjustment invoices
Issue refunds and adjust invoices to correct billing errors.
Progress billing
Invoice customers as you complete key project stages using Application for Payment.
Setup
Create progress invoice
Use retainage
Troubleshooting & FAQ
Quick solutions to common issues and answers to frequently asked questions.
Troubleshooting
Step-by-step guides to resolve the most common issues.
Frequently Asked Questions
Check out some of the most frequently asked questions for accounting.
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