Explain facilities balances before the period closes
A supplier bills the full period, a site records a missed visit and finance awaits a credit. Duvo would connect the agreement, service confirmation and AP entries to explain the open facilities balance.
Proposed application
Proposed reconciliation of non-clinical facilities invoices, service confirmations and credits. Accounting, service acceptance and payment decisions remain with authorised owners; clinical and regulated quality records are excluded.
Facilities service reconciliation · Illustrative
Finance decision neededFR-701 · Office cleaning
- Credit status
- Not received
- Supplier record
- Full period invoiced
- Service evidence
- Site confirms one missed visit
The site has documented the missed visit, but the requested credit is absent from both the supplier documents and AP.
Next action
Follow up credit: prepare the authorised supplier request with site evidence; the balance remains open until the credit and ledger treatment agree.
Retain close exception: record finance's period-close treatment and next owner action without treating the requested credit as received.
Approve the financial treatment
The finance owner would authorise the dispute, credit treatment or close exception using the site's confirmed facts and existing policy.
View the wider product queue
Facilities service reconciliation · Illustrative
Proposed non-clinical reconciliation with synthetic service and AP records.
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Showing 5 of 24 cases
- 1
Approval
Exceptions pause for the named owner
Each exception carries the source records, applied rule, recommended action, and the person authorised to decide.
- 2
Balance reason
Balance reason is visible before the action
The service difference and credit status explain what remains open in the facilities balance.
Trace the balance from service confirmation to the ledger
A site administrator may know that an office-cleaning visit was missed, but that confirmation can remain outside the AP ledger. A supplier statement then carries the full invoice while finance tracks a requested credit elsewhere. The unresolved difference can follow the balance into the next close without a clear owner.
- 01Collect
Read the facilities balance and service period
Duvo would read the supplier statement, invoice lines, non-clinical service agreement, site attendance confirmation, credit notes and AP ledger export.
- 02Match
Match charges and credits to confirmed services
Duvo would compare the billed site and service period with recorded visits and existing credits, separating missing confirmation, duplicate billing and an outstanding credit request.
- 03Prepare
Prepare the unresolved balance for finance
Duvo would attach the site evidence and applicable agreement term to each difference, showing whether a credit was merely requested, received or already reflected in AP.
- 04Approve
Your team decides
Approve the reconciliation treatment
The authorised finance owner would approve the query, credit treatment or documented close exception using the facilities team's service confirmation and existing accounting policy.
- 05Reconcile
Check the response against the next ledger record
Within agreed permissions, Duvo would record the approved action and compare the returned credit or corrected invoice with AP. The difference would close only when the documents and ledger treatment reconcile.
Connect site service evidence with finance records
Systems and control details
Scope administrative facilities services and permitted fields first. Clinical service records, patient information and regulated quality decisions would remain outside the sample and execution scope.
Facilities supplier statements, Service invoices, Non-clinical service agreements, Site service confirmations, Supplier credit notes, AP ledger exports
Match the agreed site and service period
The review would use the selected administrative sites, service categories and accounting period. Missing attendance evidence would not itself prove a service failure.
Approve the financial treatment
The finance owner would authorise the dispute, credit treatment or close exception using the site's confirmed facts and existing policy.
Separate requested credits from reconciled credits
The supplier request, received credit note and AP posting would remain distinct until the records agree.
Contracted guarantee
5x ROI, guaranteed
If measured results fall below 5x the total proposal price, the whole contract is free.
What teams ask about Facilities service reconciliation
When does Facilities service reconciliation run?
A facilities supplier statement or month-end review shows an invoice, service period or credit that does not match the organisation's records.
Who owns Facilities service reconciliation?
Facilities finance, site administration, accounts payable
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