Accounting Entry Creation
Create detailed accounting entries for blockchain transactions.
Entry Types
Invoice Payment
Record customer payments received:
- Link to customer invoice
- Payment amount
- Payment method (crypto token)
- Transaction reference
Bill Payment
Record vendor bill payments:
- Link to vendor bill
- Payment amount
- Token used for payment
- Transaction hash reference
Transfer
Record inter-account transfers:
- Source wallet
- Destination wallet
- Amount transferred
- Transfer fee
- Transaction reference
Journal Entry
Create manual accounting entries:
- Debit account
- Credit account
- Amount
- Description
- Supporting documentation
Bulk Processing with Rules
Rule-Based Automation
Create rules to automatically generate journal entries:
-
Rule Setup:
- Define matching criteria (from/to address, token, action)
- Set debit/credit accounts
- Activate rule
-
Automatic Processing:
- System matches transactions to rules
- Generates journal entries automatically
- Maintains audit trail
-
Review and Approval:
- Review matched transactions
- Verify account mappings
- Approve batch entries
Benefits
- Reduces manual data entry
- Ensures consistency
- Speeds up month-end close
- Improves accuracy
- Provides audit trail