Settlement
What actually causes invoice exceptions, and how to route them
Most exceptions aren't fraud or vendor error — they're timing and rounding. Here's how to route each type so finance stops chasing every mismatch by email.
The four exception types that account for most mismatches
- Timing mismatches - goods received or work approved after the invoice was generated. Not an error; the invoice just arrived ahead of its own paper trail. These usually clear themselves within a day or two once the receipt catches up.
- Quantity or rate variance - the invoice bills a different quantity or rate than the order specified. This is the category that actually needs a human decision: was the order wrong, or is the supplier overbilling.
- Tax or fee line differences - a tax rule configured differently than the supplier applied it. Usually a one-time configuration fix, not a per-invoice problem, once identified.
- Duplicate submission - the same invoice submitted twice, often because a supplier didn't get confirmation the first one was received. Should be caught automatically, not by a human noticing a familiar invoice number.
Route by type, not by amount
Most teams route every exception to the same queue regardless of cause, which means a five-minute timing mismatch waits behind a genuine rate dispute that needs a phone call. Once exceptions are categorized by type at the point they're flagged, timing mismatches can auto-clear once the receipt lands, tax differences route to whoever owns tax configuration, and only real quantity or rate disputes reach a human queue at all. That alone removes most of the manual load.
What finance should see, and what they shouldn't have to see
A finance team should see a queue of exceptions that need a decision — not a queue of exceptions that already resolved themselves, and not raw email threads with a supplier about a duplicate submission. If exceptions requiring human judgment aren't a small, high-signal list, the tooling is surfacing noise instead of decisions, and that's usually why teams stop trusting their own exception queue and start doing month-end reconciliation from scratch instead.
What we will not pretend
No system eliminates the need for a human to resolve a genuine quantity or rate dispute — that decision requires judgment about the underlying business relationship, not just data matching. What good tooling does is make sure that's the only kind of exception a human still has to look at.
Frequently asked questions
What causes most invoice exceptions?
Four categories account for most mismatches: timing differences between invoice and receipt, quantity or rate variance from the order, tax or fee configuration differences, and duplicate submissions.
Should every invoice exception go to the same approval queue?
No. Timing mismatches usually clear themselves once the receipt catches up, and tax differences are a configuration fix. Routing every exception to one queue regardless of cause means real disputes wait behind issues that would resolve on their own.
Can invoice exception handling be fully automated?
Not entirely. Genuine quantity or rate disputes still need a human decision about the underlying business relationship. Good tooling narrows the queue to just those cases instead of surfacing every mismatch as noise.
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