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Accounts Payable Statement Reports
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Understanding Amounts Owed to Other Centers
Step 1: Review the Collections for Other Centers Section
Step 2: Understand When You Owe Other Stores for Services
Step 3: Launch the Cross Center Settlement Report
Step 4: Configure the Report Filters
Step 5: Refresh and Review Payable Amounts
Step 6: Provide Data to Your Accountant or Bookkeeper