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Silverconne

ASOFT ERP · Integrations

Bank and mobile money receipts

Importing receipts and matching them to the right family.

Updated 22 July 2026

Fee payments arrive by wallet, transfer and cash, and almost none of them carry your reference. Matching runs on reference first, then payer number, then amount and date with a human confirming.

  • Give each family one short reference and print it on every statement.
  • Unmatched receipts sit in an aged queue, never in fee income.
  • The method is the same one described in the reconciliation tutorial.

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