Customer ledger context
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
UltimatePOS Add-on
Adjust. Settle. Close.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
Businesses that manage customer dues and sometimes approve final settlement discounts.
Practical capabilities that can be scoped around your real business process.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
A Codenixo-built customer-ledger settlement workflow for an agreed secondary discount, adjusted final payable amount and balance closing.
Real-world workflows where this product direction can be useful.
Accounting treatment/reporting should be reviewed against the business process before production use.
Discount and settlement permissions should be restricted to authorized roles.
No. It targets a later customer-ledger/due settlement scenario.
No. Business accounting treatment must be approved separately.
Let’s talk through your requirements, workflow, and integration scope.