As a follow-up from our meeting, we have conducted a mock-up of bulk receipt entry functionality flow. We welcome any feedback, questions or concerns.
Parachute automatically reads each receipt, extracting critical information including dates, vendor names, amounts, and total amount. Claim month assignment ensures correct categorization. Plus, milk audit tracking updates milk balances automatically in Food Program side.
Your team maintains full oversight with the ability to select verification status, add site names and contact information, and access complete receipt history. A dedicated note section makes it simple to add comments and context for each receipt, giving you both automated efficiency and manual control when needed.
All receipts are categorized, tagged, and stored in a searchable database. Filter by transaction date, vendor names, amounts, detected issue, and site name. During audits, locate any receipt in seconds rather than searching through boxes of paper documents.