What arrives, and what never will — transcript
Play this as a presentation — one slide per step, with the same narration. Every word of every step is on this page.
This lesson is for you if you run the books at GadgetSphere and you are about to open the receiving side of the reconciliation for the first time. About ten minutes. You will learn which screen holds what genuinely arrived, which screen is a dead end you should look at once and then leave alone, and why the almost identical menu underneath it is about something else completely — and is not as harmless as it looks. Most of this lesson is about not wasting your time.
Step 1 — Open the incoming side and see what is really there
After this step you know where supplier documents land. Still in Reconciliation, Purchase, open Inc. E-Invoice Match Q. Every row here is a supplier document that BigLedger has actually received and can pair with one of your purchases. A Match Source column on each row records how that document reached you. This is the only screen in this applet that holds a supplier’s own document, so it is the only place a pair can come from. If it has rows, lesson four pairs them. If it is empty, that is the ordinary case, and the rest of your reconciliation is the hand check in lesson five.
Reference: Incoming Supplier E-Invoices — Step 2: See what has actually arrived
Step 2 — Expect it to be thin, and know why
After this step an empty screen will tell you nothing alarming. For the overwhelming majority of your suppliers — everyone who files with the board and then sends you a PDF or a piece of paper, which is almost everyone — BigLedger has no record of that e-invoice at all. There is exactly one live way in, and it is Peppol. The other route the documentation mentions, an intake that reads e-mailed invoices by optical character recognition, cannot reach this queue: the job needs a source marker that nothing in the product ever sets, so every document it reads is skipped. If you do not receive over Peppol, this screen stays empty however long you wait.
Reference: Incoming Supplier E-Invoices — Step 6: Know what month-end can and cannot prove
Step 3 — Look at From IRB E-Invoice once, then stop going back
After this step you will stop waiting for a screen that is never going to fill. Under External Reception there is a screen called From IRB E-Invoice, and its name promises exactly what you want: the e-invoices the board holds with your company named as the buyer. It is empty, and no setting on your side fills it. BigLedger can ask MyInvois for those documents, but what comes back stops in an internal staging area and is never promoted to this screen or into the matching queue. Open it once so you have seen it with your own eyes, then take it out of your monthly routine entirely. Treating its emptiness as a finding about your suppliers is the classic mistake here.
Reference: My E-Invoice Admin Applet — 7. Incoming e-invoices and reconciliation
Step 4 — Leave the sales-side reconciliation alone
After this step you will not confuse two menus that look like twins. Underneath Reconciliation, Purchase sits Reconciliation, Sales, laid out the same way with the same buttons. It is a different subject: its register holds your own sales documents, the ones finalised with Skip E-Invoice set. Now the part that matters, which no screen tells you. Do not press Auto Match on the sales-document queue. It is wired to the purchase-side matcher — the same call the purchase screen makes — so a pass you start there runs across your supplier reconciliation and can pair and clear rows you were about to review. Everything you need is on the five purchase-side screens. Leave the sales side alone.
Reference: My E-Invoice Admin Applet — 7. Incoming e-invoices and reconciliation
Step 5 — Learn the five screens as one loop
After this step the menu stops looking like a wall. There is one fact worth carrying out of it, and no screen states it: every row in this area is in exactly one of five places at a time, and every move between them is reversible by a button on the place it landed. A pair you made wrongly comes back out of Matched History. A row you cleared too early comes back out of an unmatched history. Nothing here is destroyed, and none of it needs an administrator to undo. That is why these screens are safe to learn by using them, which is not true of most of the applet around them.
Reference: My E-Invoice Admin Applet — Screens and menus
How the steps fit together
flowchart TD
s1["Step 1 — Open the incoming side and see what is really there"]
s2["Step 2 — Expect it to be thin, and know why"]
s3["Step 3 — Look at From IRB E-Invoice once, then stop going back"]
s4["Step 4 — Leave the sales-side reconciliation alone"]
s5["Step 5 — Learn the five screens as one loop"]
s1 --> s2
s2 --> s3
s3 --> s4
s4 --> s5
Check yourself
Three to five questions on what you just heard. Every correct answer links to the page that makes it correct, so you can check the source, not just the mark.
Answer key
- Reconciliation (Purchase), Inc. E-Invoice Match Q. — Incoming Supplier E-Invoices — Step 2: See what has actually arrived
- Nothing — it does not fill, and its emptiness says nothing about your suppliers — My E-Invoice Admin Applet — 7. Incoming e-invoices and reconciliation
- The purchase-side matcher, which can pair and clear rows in your supplier reconciliation — My E-Invoice Admin Applet — 7. Incoming e-invoices and reconciliation
- It counts the pairs you made, and unless supplier documents reach you over Peppol there are none to count — Incoming Supplier E-Invoices — Step 6: Know what month-end can and cannot prove
- Every move between them is reversible by a button on the destination screen — My E-Invoice Admin Applet — Screens and menus
Next: Pair one by hand · Back to the series · Play this as a presentation