2. CSA’s Service Management involves the automated
reconciliation of cash logistics invoices against
services ordered to ensure invoicing accuracy.
3. Access to verified invoicing gives businesses the
confidence that services charged by suppliers reconcile
with services ordered; and the reassurance to pay
accurately.
Why is this
important?
4. How is
this DELIVERED?
Supplier invoices are
sent to CSA & verified
Discrepancies are
queried and resolved
Customer receives
adjusted invoices
5. In 2015, CSA resolved over
39,000 discrepancies
resulting in more than $340k
worth of adjustments.
6. CSA reconciles all supplier invoices against agreed
pricing and services ordered. Discrepancies flagged are
then managed directly with suppliers. Customers are
provided with a monthly statement of verified charges.
What is the
process?
7. How do I know
my information is SECURE?
CSA has been in business for almost 15 years
and was developed by three of Australia’s big 4
banks. Data is protected by 256 bit SSL
encryption and uses the same robust systems
that the banks use internally today.
8. CSA has a range of software solutions and add-ons designed to
provide businesses with greater security, greater savings and
greater visibility of their cash cycles. Get in touch to find out more.
find savings in
my cash cycle?
Where else can I
9. Get in touch
Kendall Evans
Head of Sales | Cash Services Australia
T: 02 9490 9913
M: 0405 754 380
E: kevans@cashservices.com.au