Information about Supplier Portal: Payments and Invoices lives in separate spreadsheets, and nobody knows which version is current.
4 modules share the same class, graduate and event records.
Finance and management · Supplier Portal: Payments and Invoices
Two new screens in the supplier portal. In Payments, completed ones come from settlements and scheduled ones show the scheduled date and bank status, with the receipt resolved instantly: bank transaction, attachment or the settlement's own receipt. In Invoices, the supplier uploads the NF-e or NFS-e XML and the system reads it on its own; an invoice from another CNPJ is rejected, and so is a duplicate key. The invoice can be attached to a scheduled payable. The company reviews it in Purchasing, under Portal, on the Invoices tab, and the review does not post to finance on its own. Invoice permission is derived from the contact's order or finance permission, and a contract to sign appears for the right contact.
The problem and the solution
This is connected information about classes, graduates and events across 4 modules, replacing scattered spreadsheets and messages.
Information about Supplier Portal: Payments and Invoices lives in separate spreadsheets, and nobody knows which version is current.
4 modules share the same class, graduate and event records.
A request for a number takes time because someone has to combine data from several places.
Completed and Scheduled Payments and Receipts update together, with figures ready for the next meeting.
The process depends on who is working that day, and its history disappears.
Everyone follows the same workflow, with recorded actions and role-based permissions.
Connecting with other departments means exporting spreadsheets and entering data again.
Supplier Portal: Payments and Invoices shares information directly with other areas of the platform.
How it works
Each step is a real module in this area. Its output moves to the next step without anyone entering the same information again.
Pagamentos realizados lidos das baixas, programados com data e status bancário, e o comprovante resolvido na hora. O fornecedor envia o XML da NF-e ou NFS-e, o sistema lê, recusa nota de outro CNPJ e chave duplicada, e a empresa confere em Compras sem que nada entre no financeiro sozinho.
See this in actionWhat has already been paid, read from settlements, and what is scheduled, with bank status.
The right receipt appears instantly, wherever it is.
The supplier uploads the XML and the system reads it, checks the CNPJ and rejects duplicates.
The company reviews the received invoice in Purchasing, and nothing enters finance without someone deciding.
Checklist
All 17 features in this area, grouped by module so you can compare systems item by item.
See a demonstration using your own numbers, with no obligation. A conversation will help you decide whether the module solves your needs.