Audit detail

Expense Claim Reconciliation

Matching employee or vendor expense claims to receipts, policy limits, and account codes before payment runs.

Person comparing receipts with a spreadsheet printout

Matching employee or vendor expense claims to receipts, policy limits, and account codes before payment runs.

This engagement sits alongside our flagship pre-submission audit. Ask for capacity and timing when you write; we confirm whether your file fits a spot check, claim batch, or walkthrough window.