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accounts-payable-management应付账款管理

Agent Skill

accounts-payable-management 用于查找、检索和筛选相关信息,适合在 Codex、Claude、Cursor、Gemini CLI 中需要根据关键词、任务场景或来源线索快速定位候选结果时使用。可结合来源仓库、安装命令和原始 README 继续核验具体用法。安装前建议确认权限范围、维护状态,以及是否会触发联网、命令执行或文件读写。

总安装

490

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157
CodexClaudeCursorGemini CLI

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本站只整理中文说明和来源信息,不托管安装包,也不代用户安装。

GitHub

来源数

2

许可证

unknown

最后核验

2026-05-01

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来源可访问

安装方式

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复制提示词发给支持本地命令或 Skills 的 AI 助手,先确认命令和权限,再让它执行。

请帮我安装这个 Agent Skill:accounts-payable-management(应付账款管理)
来源仓库:https://github.com/finsilabs/awesome-ecommerce-skills
仓库路径:skills/accounts-payable-management
安装命令:
npx skills add https://github.com/finsilabs/awesome-ecommerce-skills --skill accounts-payable-management
安装前请先检查当前环境是否支持对应 CLI,并向我确认将要执行的命令、安装目录、联网范围和文件读写权限;确认后再执行。

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复制命令到本机终端执行。该命令会通过 npx skills 从第三方来源获取 Skill;本站只展示命令,不托管安装包,也不自动执行。

skills.shnpx skills
npx skills add https://github.com/finsilabs/awesome-ecommerce-skills --skill accounts-payable-management

简介

accounts-payable-management 用于查找、检索和筛选应付账款管理相关信息,适合在 Codex、Claude、Cursor、Gemini CLI 中快速定位候选结果。

  • 适用于供应商发票处理、三向匹配(采购订单、收货单、发票)、付款调度和折扣捕获等场景。
  • 通过 npx skills add 命令从 GitHub 仓库安装,需结合原始 README 核验具体用法。
  • 安装前建议确认权限范围、维护状态,以及是否会触发联网、命令执行或文件读写操作。
  • 当前分类为研究检索,主要面向需要自动化应付账款流程的开发环境。

SKILL.md

Accounts Payable Management

Overview

Accounts payable (AP) management covers ingesting supplier invoices, matching them against purchase orders and goods receipts, scheduling payments, capturing early-payment discounts, and reconciling against the vendor ledger. For most e-commerce merchants, a dedicated AP tool or accounting software integration handles this far better than custom code.

When to Use This Skill

  • When your AP team is manually keying invoices from PDFs into spreadsheets and payment delays are causing vendor friction
  • When you need automated three-way matching between purchase orders, goods receipts, and invoices
  • When early-payment discounts (e.g., 2/10 net 30) are being missed because payment scheduling is reactive
  • When preparing for an ERP integration (NetSuite, SAP, QuickBooks) and need a clean AP data model
  • When audit requirements demand an immutable record of every invoice approval, payment authorization, and GL posting

Core Instructions

Step 1: Determine your current setup and choose the right AP tool

Store StageRecommended ToolWhy
Small (< $1M revenue)QuickBooks Online or XeroBoth handle AP with supplier invoices, payment scheduling, and bank reconciliation; integrate with Shopify/WooCommerce via native connectors
Mid-market ($1M–$20M)BILL (formerly Bill.com) or TipaltiBILL handles invoice capture via email, approval workflows, ACH/check payments, and vendor portals; Tipalti adds mass global payments
Enterprise ($20M+)NetSuite ERP or SAP Business OneFull ERP with three-way matching, GL coding, and multi-entity consolidation
Custom / HeadlessBuild an AP data model + integrate with Stripe Treasury or Plaid for paymentsFor platforms with non-standard procurement workflows

Step 2: Connect your e-commerce platform to your AP system

Shopify

Connect Shopify to QuickBooks Online:

  1. Install QuickBooks Online connector from the Shopify App Store (free, by Intuit) or use A2X (paid, more reliable for high-volume)
  2. The connector syncs Shopify sales, refunds, and payouts to QuickBooks automatically
  3. In QuickBooks → Expenses → Vendors, manage your supplier invoices and payment schedules
  4. Enter vendor invoices manually in QuickBooks or forward supplier invoices to your QuickBooks inbox email (QuickBooks extracts invoice data via OCR)

Connect Shopify to BILL:

  1. Install BILL from the Shopify App Store or connect via Zapier
  2. BILL receives supplier invoices via email (forward to your BILL inbox address)
  3. BILL extracts invoice data, routes for approval based on your rules, and schedules ACH or check payments
  4. For Shopify inventory vendors: create purchase orders in BILL and match incoming invoices against them

WooCommerce

Connect WooCommerce to QuickBooks:

  1. Install the QuickBooks Online plugin from WooCommerce.com (official extension)
  2. Configure sync settings: sales orders, refunds, and fees sync automatically
  3. Manage supplier invoices in QuickBooks → Expenses

Connect WooCommerce to Xero:

  1. Install Xero from WooCommerce.com or use a third-party connector like WooSync or Xero for WooCommerce by Codisto
  2. Xero handles AP with a built-in bills module, payment approvals, and bank reconciliation

BigCommerce

Connect BigCommerce to QuickBooks:

  1. Use QuickBooks Online connector from the BigCommerce App Marketplace or A2X Accounting
  2. A2X is specifically designed for e-commerce accounting and handles Shopify/WooCommerce/BigCommerce → QuickBooks sync accurately

Connect BigCommerce to NetSuite:

  1. Use the NetSuite Connector from the BigCommerce App Marketplace or a middleware like Celigo or Boomi
  2. NetSuite provides enterprise AP with full three-way matching, multi-entity support, and audit trails

Step 3: Set up invoice capture and approval workflows

Using BILL (best-in-class dedicated AP tool)

  1. Invoice capture: Forward supplier invoices to your BILL inbox email or have suppliers submit directly via a BILL supplier portal link
  2. AP inbox in BILL: Review captured invoices at BILL → Payables → Inbox; BILL's OCR extracts vendor name, invoice number, date, amount, and due date
  3. Approval routing: Go to BILL → Settings → Approval Policies to configure amount-based routing:

- Under $500: auto-approve - $500–$5,000: AP Manager approval - $5,000–$50,000: Controller approval - Over $50,000: CFO approval

  1. Approvers receive an email with a one-click approve/reject link
  2. Payment scheduling: BILL schedules payments based on vendor due dates; you can also set to pay X days before due date to capture 2/10 early discounts

Using QuickBooks Online for smaller operations

  1. Go to Expenses → Vendors → [Vendor] → New Transaction → Bill
  2. Enter invoice details manually or forward the invoice PDF to your QuickBooks inbox email
  3. Set the due date based on vendor terms (e.g., net 30)
  4. To pay: go to Expenses → Pay Bills, select invoices due, choose payment method (bank transfer, check)
  5. QuickBooks tracks outstanding AP and generates an aging report (Reports → Accounts Payable Aging)

Step 4: Implement three-way matching

Three-way matching compares: the purchase order (what you ordered), the goods receipt (what you received), and the vendor invoice (what the vendor is charging).

In NetSuite:

  • NetSuite handles three-way matching natively — create a PO, receive the goods (Inventory → Receive Inventory), then match the vendor bill against both; discrepancies auto-flag as exceptions

In QuickBooks:

  • QuickBooks does not do three-way matching automatically
  • Workflow: create a PO in QuickBooks (Expenses → Purchase Orders), receive the items in inventory, then match the bill to the PO manually
  • Third-party add-on: Zahara or Lightyear add PO matching and approval automation on top of QuickBooks

In BILL:

  • BILL supports PO matching — create POs in BILL, then when an invoice arrives, BILL prompts you to match it against an open PO

Step 5: Capture early-payment discounts

Common vendor terms are "2/10 net 30" — 2% discount if paid within 10 days, full amount due in 30.

In BILL:

  1. In your vendor record, set payment terms to "2/10 Net 30"
  2. BILL automatically flags invoices where early payment would save money
  3. Go to BILL → Payables → Early Pay to see all discount opportunities sorted by savings amount

In QuickBooks:

  1. When entering a vendor bill, set the payment terms to "2/10 Net 30"
  2. QuickBooks calculates the discount amount automatically
  3. When paying: select the bill and QuickBooks shows the discount available if paid today

Key rule: Set a weekly payment run on a fixed day (e.g., every Tuesday). Pay all invoices due in the next 10 days. This captures early discounts systematically without manual review.

Step 6: Reconcile and report

AP aging report

Run monthly to see all outstanding payables by age:

  • QuickBooks: Reports → Accounts Payable Aging Summary
  • BILL: Reports → AP Aging
  • Xero: Reports → Aged Payables Summary

This shows you what's current, 30–60 days, 60–90 days, and 90+ days overdue.

Cash flow forecast

  • QuickBooks: Reports → Cash Flow Forecast (shows projected outflows based on bill due dates)
  • Float (add-on for QuickBooks/Xero): provides a more accurate 90-day cash flow forecast including AP obligations

Custom / Headless — core AP data model

// Minimal AP invoice schema for custom implementations
interface ApInvoice {
  id: string;
  vendorId: string;
  invoiceNumber: string;      // unique per vendor
  invoiceDate: Date;
  dueDate: Date;
  currency: string;           // 'USD'
  totalCents: number;
  paidCents: number;          // increments as payments are applied
  status: 'received' | 'pending_approval' | 'approved' | 'scheduled' | 'paid' | 'disputed';
  poId?: string;              // linked purchase order for matching
  earlyDiscountRate?: number; // e.g., 0.02 for 2%
  earlyDiscountDeadline?: Date;
}

// Identify invoices where early payment saves money
function findEarlyPaymentOpportunities(
  invoices: ApInvoice[],
  todayDate: Date
): { invoiceId: string; discountCents: number; deadline: Date }[] {
  return invoices
    .filter(inv => inv.status === 'approved')
    .filter(inv => inv.earlyDiscountRate && inv.earlyDiscountDeadline! > todayDate)
    .map(inv => ({
      invoiceId: inv.id,
      discountCents: Math.round(inv.totalCents * inv.earlyDiscountRate!),
      deadline: inv.earlyDiscountDeadline!,
    }))
    .sort((a, b) => b.discountCents - a.discountCents);
}

Best Practices

  • Separate invoice approval from payment authorization — the person who approves an invoice should not be the person who initiates the payment; this is a basic internal control
  • Run payment runs on a fixed weekly cadence — predictable payment dates reduce bank fees, simplify cash forecasting, and vendors learn to expect payment on those days
  • Store original invoice PDFs for 7 years — attach the PDF to every bill in QuickBooks/BILL; required for tax audits and vendor disputes
  • Send remittance advice — when paying multiple invoices in one ACH batch, email the vendor a list of which invoices were paid and for what amounts so they can reconcile their AR
  • Lock invoice amounts after approval — never edit a bill's total after it's been approved; create a credit memo or debit memo for adjustments instead

Common Pitfalls

ProblemSolution
Duplicate invoice paymentsQuickBooks and BILL both alert on duplicate invoice numbers per vendor — enable these warnings and require staff to acknowledge them before saving
Early discount window missed because invoice sat in approval queueAdd a "discount deadline" badge in your approval tool; BILL shows this prominently; set escalation reminders 2 days before the discount expires
AP aging report shows negative balancesVendor credits and credit memos can create negative balances; ensure credits are applied against open invoices as part of your payment run
Vendor disputes payment amountAlways store the PO, goods receipt, and invoice together with your matching result; this is your paper trail for disputes

Related Skills

  • @vendor-management
  • @order-management-system
  • @returns-refund-policy

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