Invoice reconciliation eats days of every tax period
Purchase invoices and input tax credits never quite match. The data is already in your ledger — what is missing is whoever reconciles it into a filing-ready dataset.
- Input invoices matched by hand, one by one
- Gaps surface on the last day of filing
- No trace of why a number moved
Reconciliation runs on its own; gaps show up early in the period, not at the last minute.