Start with a defined trigger
Finance selects an account or invoice for follow-up from an approved receivables report.
Overdue account-to-reviewed-follow-up
This is a proposed workflow pattern. We confirm data access, permissions, integration options and review ownership with your team before implementation.
Confirm report freshness and payment reconciliation timing. Do not send a reminder based on a stale balance or unverified contact.
Finance selects an account or invoice for follow-up from an approved receivables report.
Gather the verified balance, invoice references, permitted dispute notes and recorded payment or contact history.
Draft a follow-up that identifies the outstanding item and asks an appropriate question without inventing a cause for nonpayment.
Finance verifies the balance and the account owner checks disputed or sensitive situations before contact.
Log the approved communication and connect the customer's response to the outstanding item.
Measure incorrect reminders, reply usefulness, preparation time and unresolved disputes.
Keep the input, relevant context, review decision and final result connected. When a reviewer corrects something, use that evidence to improve the instructions or integration, then validate the change against representative cases.
The workflow stays centered on your business. The engagement determines who learns, implements and operates it.
Start with AI workflow training and the Factory Line source package. Workshop support is available when you need feedback.
Explore the $2,500 package ↗Get everything in DIY, three months of workshops, weekly team sessions and direct implementation coaching.
Explore guided implementation ↗Include all the learning and guidance, with ownership of agreed operations and major implementation decisions.
Explore managed delivery ↗Prepare payment-matching evidence for accountants when remittance details do not clearly identify the invoice.
Explore this solution ↗Organize receipts and policy references into a reviewable expense packet while keeping reimbursement decisions with approvers.
Explore this solution ↗Prepare supplier invoices for review with source-linked extraction, duplicate checks and a clear accounting approval boundary.
Explore this solution ↗Bring a process, a bottleneck, or an idea. We'll help you decide what to automate, what to keep under human review, and where to begin.