Corporate card issuer payment reconciliation and additional charges
Summary:
When we run the corporate card issuer payment request the invoice in AP for each transaction gets created. when the invoice from the card issuer comes it has come additional charges/fees. How is this handled? what are the best practices followed? Is manual recon and generating a invoice withe balance amount the only option?
Content (please ensure you mask any confidential information):
Version (include the version you are using, if applicable):
Code Snippet (add any code snippets that support your topic, if applicable):