シナリオ
A finance team performs month-end close for accounts receivable, reconciling subledger balances to the general ledger and routing exceptions for dispute, write-off, or allowance adjustments before final reporting.
この図に含まれるもの
図の背後にある意思決定を読み解く。
01
Reconcile AR subledger to GL?
02
Dispute or write-off needed?
Use for finance/accounting teams documenting or automating the AR month-end close, reconciliation, and reporting workflow.