- 01Intake & evidence
- 01
Load source documentKeep the original PDF as immutable evidence
Waiting
- 02
Create document fingerprintGenerate a stable identity for traceability
Waiting
- 03
Extract invoice fieldsVendor, number, dates, lines, currency and total
Waiting
- 04
Normalize the recordStandardize names, dates, amount and currency
Waiting
- 02Controls & policy
- 05
Confirm payable scopeVerify this is a company-payable business cost
Waiting
- 06
Resolve vendor identityMatch the vendor to the controlled master record
Waiting
- 07
Separate billed-to and paid-byPreserve company liability and payment evidence
Waiting
- 08
Apply date rulesDerive bill date, due date and charge month
Waiting
- 09
Run duplicate controlCompare fingerprint, invoice number, vendor and amount
Waiting
- 10
Apply tax & currency policyValidate SGD and included GST treatment
Waiting
- 11
Map account and ownerCode repairs and maintenance to the right entity
Waiting
- 03Register & filing
- 12
Generate controlled filenameCreate a consistent searchable document name
Waiting
- 13
Build charge-month pathYear / month / vendor / source document
Waiting
- 14
Write source register rowAdd the approved invoice to the Excel-style register
Waiting
- 15
Rebuild reporting workbookRefresh vendor, month and currency summaries
Waiting
- 16
Recalculate live formulasVerify totals and zero spreadsheet errors
Waiting
- 04Accounting connector
- 17
Build accounting payloadPrepare vendor, account, tax, dates and amount
Waiting
- 18
Create LedgerFlow expensePost to the fictional accounting workspace
Waiting
- 19
Allocate voucher referenceFind the next free controlled payment number
Waiting
- 20
Attach source receiptLink the original PDF to the expense record
Waiting
- 21
Read back and verifyCompare every posted field with the source
Waiting
- 05Storage & reconciliation
- 22
Mirror to virtual NASCopy the controlled PDF to shared storage
Waiting
- 23
Compare filename setsConfirm local and NAS evidence match exactly
Waiting
- 24
Match bank transactionUse vendor, amount, currency, date and reference
Waiting
- 25
Check fee and FX deltaConfirm no true-up is required for this SGD invoice
Waiting
- 06Close-out
- 26
Roll forward next expected billSchedule the next recurring review date
Waiting
- 27
Close linked audit trailConnect source, register, ledger, storage and bank
Waiting