Add bills to batches

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Overview

If you created a batch of transactions to export to an accounting system such as QuickBooks or Intacct, you can add reconciled bills to those pending batches.


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 for details.

  • The Purchasing Module is required to use this feature.

  • Permission is required to use this feature. Please contact the account administrator on your team.

Things to know

  • If you haven’t already enabled Payables, see Set up Accounts Payable.

  • To export purchase orders or bills, you should receive a purchase order and create a bill.

Add a bill to a batch

  1. Go to the navigation bar and click Accounting.

  2. In the side menu, click Bills.

  3. Click the Reconciled tab.

  4. Click a bill.

    Tip: Use the filters to quickly find a bill.

    Overview of bills with reconciled status and vendor details displayed in a table.

  5. On the bill record that opens, click Add to Batch and select a batch from the dropdown.

    Note: Only pending batches appear in the dropdown.

    User interface showing options to add to batch, statement, or pay bill.

The bill is added to the batch.

Note: A link to the batch number appears in the bill’s details so you can review the bill.

Bill summary showing total amount, batch number, and export status details.

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