Monitor payments, customer balances, reminders and SEPA direct debits
Objective. Understand and manage customer balances by linking invoices, payments, matching, due dates, reminders, direct-debit batches and rejected transactions.
What you will learn
- Read a customer balance and trace each amount back to invoices and payments.
- Record and match full, partial or grouped payments correctly.
- Prepare reminders and SEPA direct debits from a verified population.
Recommended workflow
- Review issued invoices, due dates and existing payments for the selected customer and company.
- Record or import payments with the correct date, bank account, method and reference.
- Match payments to invoices and investigate differences, advances or unallocated amounts.
- Generate reminders or SEPA files only after excluding disputes, rejected mandates and already settled items.
Checks before continuing
- The customer balance equals issued invoices minus credit notes and matched payments.
- A payment is not entered twice through both manual entry and import.
- Reminder and direct-debit selections are reviewed before any external communication or bank submission.