Background:
Parakeet automates the reconciliation of inward BPAY receipts based on the:
- For NAB: BRF (BPAY remittance file) or
- For CBA: CSV file provided by the BPAY provider.
Purpose:
This document outlines how to reconcile invoices that are 'auto-matched' by Parakeet
For transactions that are un-reconciled, please refer to process here.
Auto Reconciliation Steps by Parakeet:
Parakeet
- Parakeet receives the BRF/CSV file from you / BPAY Provider
- Parakeet translates the BRF/CSV file and allocates the BPAY receipts to the customer's outstanding invoices
- Parakeet marks the BPAY receipt to the appropriate invoices in Xero
- Parakeet marks the invoice as paid in Xero
- Parakeet allocates a Payment reference to the invoice
- Invoice marked as "paid" and allocate the invoice to the pre-agreed bank account in Xero
- Email is sent, summarising the payments that has been reconciled (screen shot)
- Parakeet attaches the BRF/CSV as an attachment to the invoice within Xero
- The Payment reference is recorded in the format of: "CRN | Payment Reference from Payer Bank"
Your Action: Bank statement Reconciliation
CBA / NAB - For Batch BPAY Credits
- When the Batch BPAY deposit is received from your BPAY provider, go tor the 'Reconcile' tab in Xero
- Click "Transfer" and select Parakeet AR FINAL Clearing Account.
- Click OK and the invoice is reconciled
- Optional Step - (Recommended)
- Go into the Parakeet AR FINAL Clearing account.
- Mark the transfer as ‘reconciled’ within the Parakeet AR Final Clearing Account by clicking into the options and ‘Mark as reconciled’.
- Note: Parakeet record paid invoices against the Parakeet AR INTERIM Clearing Account and then automatically transfers the bulk amount received to the Parakeet AR FINAL Clearing Account.
Others - For Individual BPAY credits - (e.g. Macquarie/ANZ/WBC)
- When the individual BPAY deposit is received from the BPAY provider, go tor the 'Reconcile' tab in Xero
- Xero will provide the best match based using the information provided by Parakeet (e.g. CRN | Payment Reference)
- Click OK and the invoice is reconciled
- (Option: User can also create 'bank rules' in Xero to automate some of these task)