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Intacct Reconciliation

zelbur
New Contributor II

We are spending a lot of time and doing manual work each month end to reconcile Intacct to ServiceTitan that involves exporting reports from both systems, recreating item IDs, pivot tables, index/vlookup in excel. 

Mainly: 

ST Aggregate Inventory report to Intacct Inventory Valuation - quantity on hand and value

Sales Revenue

AR Aging 

We will soon have 25 locations that we need to perform this reconciliation for. There has to be a better way? Any suggestions?

Thanks in advance!

3 REPLIES 3

zelbur
New Contributor II

Thanks for the feedback. Despite our efforts the systems do not reconcile and we need to do a manual check. I was hoping to learn if anyone from the community is successfully using API to automate reconciliation? Like linking ST with Intacct and having it find differences. 

CPAplumber
New Contributor II

I’d be interested in exploring this further.
I’ve already developed an API automation process that uses our vendor invoice data to automatically create POs, returns, and bills in ServiceTitan. Since we’re mapping vendor IDs to ST IDs in that workflow, I imagine we could do something similar with Intacct IDs for a seamless integration. 

Sheena_Palacios
ServiceTitan Certified Provider
ServiceTitan Certified Provider

Such a tough area, @zelbur and a lot of it depends on your operational process and how your system is currently configured. Things like linking materials + equipment to services will help with the replenishment process. Also, cycle counts on your trucks need to be conducted on top to verify the replenishment matches. Best of luck!

- Sheena @ NIFT

Sheena @ NiFT