Skip to content

Automate Financial Reconciliation and Reporting for Shipping Platform #1

@john67k

Description

@john67k

Develop and implement automated processes to capture the complete financial trail for shipping transactions. This includes documenting customer charges, payment gateway fees, carrier charges, refunds, and adjustments. Build periodic reconciliation jobs to match payments with carrier invoices, identify mismatches, store settlement metadata, and support manual adjustments with auditability. Produce actionable reports and document all workflows for operations and compliance.

Metadata

Metadata

Assignees

No one assigned

    Labels

    No labels
    No labels

    Projects

    No projects

    Milestone

    No milestone

    Relationships

    None yet

    Development

    No branches or pull requests

    Issue actions