---
title: "Guide to auto-batching"
slug: "guide-to-auto-batching"
updated: 2026-05-22T19:58:52Z
published: 2026-05-22T19:58:52Z
---

> ## Documentation Index
> Fetch the complete documentation index at: https://help.servicetitan.com/llms.txt
> Use this file to discover all available pages before exploring further.

# Guide to auto-batching

## Overview

ServiceTitan auto-batching helps you automatically group invoices, payments, bills, returns, inventory adjustments, and inventory transfers.

[Guide to auto-batching Video](https://fast.wistia.net/embed/iframe/iz5jz3ps0q?web_component=true&amp;seo=true&amp;videoFoam=false)

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#### Who uses this feature

- Administrators, office employees, managers, accountants, and bookkeepers
- Applies to all business types
- Applies to all trades

#### Feature configuration

- Account configuration is required to use this feature. Please contact [Technical Support](http://go.servicetitan.com/ask) for details.
- [Accounting permissions](/v1/docs/send-customer-statements#permissions) are required to use this feature. Please contact the account administrator on your team.

## Things to know

- For the purposes of this guide, invoices, payments, bills, returns, inventory adjustments, and inventory transfers will be referred to as transactions.
- **WARNING:**If you are exporting to QuickBooks Desktop and have multiple QBD files, you need to enable **Group by Business Unit**for each transaction. This allows you to select the correct QBD file when exporting batches.
- Auto-Batching in ServiceTitan runs for each transaction based on their cadence in **Settings ![](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/icon-gnav-settings-inactive.png)** > **Accounting**> **Auto-Batching**.
- When transactions are Auto-Batched, you still need to complete your review and export phase manually.
- To disable certain transaction types from being auto-batched, set the *Cadence* for that transaction type to *Manually*.

## Auto-Batching cadence

A transaction’s cadence determines how often it will be batched automatically. ServiceTitan Auto-batching settings offer the following cadences:

- *Daily*: A new batch for the transaction will be created once per day.
- *Per Transaction*: A new batch for the transaction will be created as soon as the transaction is made.
- *Weekly*: A new batch for the transaction will be created once per week.
- *Monthly*: A new batch for the transaction will be created once per month.
- *Manually*: This transaction will not be Auto-batched.

To assign a cadence to each of your transactions:

1. Go to **Settings** ![](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/icon-gnav-settings-inactive.png).
2. In the side panel, go to **Accounting**> **Journal Entries and Auto-Batching**..
3. On the *Journal Entries and Auto-Batching*screen, click **Edit**under the *Batch Cadence* column.
4. On the dropdown that appears, select your preferred cadence. ![Dropdown menu showing options for Auto Export Frequency and Batch Cadence settings.](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/guide-to-auto-batching-image-c2694n9t.png)
5. Repeat steps 3-4 for each transaction type.
6. Go to the *Batch Settings* section and set the *Auto-Batching Start Date*.

> [!NOTE]
> **Note:** Auto-Batching processes 100 transactions every two minutes. If you select a past date, it may include a large backlog of transactions.

![Settings for auto-batching transactions with start date and grouping options displayed.](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/guide-to-auto-batching-image-wn7eqalw.png)
7. When finished, click **Save. ![Buttons for restoring default settings and saving changes in a user interface.](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/guide-to-auto-batching-image-8xmvuwf6.png)**

> [!NOTE]
> **Note:** If you click **Restore to Default**, every transaction’s cadence reverts back to Daily with the exception of **Payments (Invoices)**, which reverts to Manually.

## Grouping

The *Journal Entries and Auto-Batching* settings page includes several grouping toggles that allow you to further customize how many batches are created.

## Group batches by cadence:

This allows you to create one batch for multiple transaction types based on their cadence. For example, if *Invoices* and *Bills* are set to a *Daily* cadence, they will be grouped to create one batch.

To enable this, select the **Group batches by cadence** option in the *Batch Settings*section of the *Journal Entries and Auto-Batching* settings screen.

**![Settings for auto-batching transactions with date and grouping options highlighted.](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/guide-to-auto-batching-image-anagq6dd.png)**

## Group by business unit

Each transaction will be grouped by cadence and business unit. For example, if you have four invoices and each of them is assigned to a different business unit, four batches will be created.

> [!NOTE]
> **Note:** This will increase the total number of batches/journal entries.

To group by cadence and business unit, select the option under the *Separate by Business Unit* column in the configuration table.

**![User selects 'Daily' option in a data export settings table.](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/guide-to-auto-batching-image-nusaam6g.png)**

## Group by Payment Type (Payments only)

Each payment transaction will be grouped by cadence and payment type. For example, if you have four payments and each of them is a different payment type, four batches will be created.

To group by cadence and payment type, select the option under the *Separate by Payment Type* column in the configuration table.

**![User selects checkbox in a table for payment type separation options.](https://cdn.document360.io/961862ab-d0f2-4d91-bb62-a62ee8184eff/Images/Documentation/guide-to-auto-batching-image-oaivc97q.png)**

## FAQ

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#### Why do my invoices automatically go back into a batch after being unbatched?

Go to **Settings > Accounting > Journal Entries and Auto-Batching** and check the *Batch Cadence* for your transactions. Transactions are batched automatically if they are set to *Daily*. Set the batch cadence to *Manual* to prevent this.

## Want to learn more?

- See [Batch, post, and export transactions](/v1/docs/batch-post-and-export-transactions)
- See [Payments - FAQ](/v1/docs/payments-faq)****
