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Opserly Documentation

Step-by-step guides for every module — from your first login to invoicing, field jobs, workflows, and reporting.

Match bank transactions

Link bank credits to customer payments and debits to vendor bills.

Attach Transactions imports bank feed lines via Plaid for reconciliation.

  1. 1

    Connect bank (admin)

    An administrator links the organization bank account under Attach Transactions using Plaid.

  2. 2

    Review unmatched lines

    Open Attach Transactions to see imported credits and debits.

  3. 3

    Match to invoice or bill

    Select a transaction and link it to the corresponding AR or AP record.