ABL Discount Reconciliation
Reconciliation Desk
Received Files

Received files

See each received file as a batch, open it to inspect the transactions inside it, and keep the file process and transaction outcomes visible from the list.

Start processing manually
Upload a claim file, bank statement, or supporting document and send it directly into the shared reconciliation intake flow.

CSV, spreadsheet, PDF, or image

Automated source locations
For recurring intake, connect a shared folder, FTP/SFTP location, email inbox, or API upload route to the standard reconciliation intake flow. Files captured there appear in this queue as batches.
Files in view
0

Intake batches currently visible in this queue.

Transaction rows in view
0

Merchant-side transactions extracted from the files on screen.

Reconciled / manual review
0 / 0

Reconciled transactions versus transactions currently waiting for a person.

Batch queue
Showing 0 intake records across the current filter set.
FileMerchantsTransactionsProcessFile StatusReceivedActions
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