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Journal entry workflow with approvals and audit trail

As a GL Accountant, I want to create journal entries that route for approval based on amount and entity, so that we reduce posting errors and maintain a compliant audit trail.

Finance → Accounting & Close → General Ledger & Journals → Journal Entry Workflow · BusinessTaxonomy Seed · 2026-01-06

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VAT determination rules by country, product, and customer type

As a Tax Analyst, I want to determine VAT based on country, product/service category, and customer type, so that tax calculation is consistent and compliant across transactions.

Finance → Tax → Indirect Tax → VAT Determination · BusinessTaxonomy Seed · 2026-01-06

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Close calendar and checklist with ownership and status

As a Financial Controller, I want to define a close calendar with tasks, owners, and due dates, so that the period close is predictable and bottlenecks are visible early.

Finance → Accounting & Close → Close & Consolidation → Close Calendar & Checklist · BusinessTaxonomy Seed · 2026-01-06

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Rolling forecast with driver inputs and variance explanations

As a FP&A Analyst, I want to run a rolling forecast that collects driver inputs and variance explanations from budget owners, so that management has a consistent view of expected performance.

Finance → Planning & Analysis → Forecasting → Rolling Forecast · BusinessTaxonomy Seed · 2026-01-06

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AP invoice capture with validations and duplicate detection

As a Accounts Payable Clerk, I want to capture supplier invoices with header/line validations and duplicate checks, so that we prevent duplicate payments and reduce manual rework.

Finance → Accounting & Close → Accounts Payable → Invoice Capture & Validation · BusinessTaxonomy Seed · 2026-01-06

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AR cash application suggestions using remittance and matching rules

As a Accounts Receivable Specialist, I want to auto-suggest cash application matches using remittance data and configurable rules, so that we accelerate cash application and reduce unapplied cash.

Finance → Accounting & Close → Accounts Receivable → Cash Application Suggestions · BusinessTaxonomy Seed · 2026-01-06

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Signatory and mandate management for bank accounts

As a Treasury Controller, I want to manage signatories, limits, and mandate documents per bank account, so that we can prove signing authority and reduce operational risk.

Finance → Treasury → Bank Account Management → Signatories & Mandates · BusinessTaxonomy Seed · 2026-01-06

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Central bank account master data with ownership and lifecycle status

As a Treasury Operations, I want to maintain a single bank account master record with owner, entity, currency, and lifecycle status, so that bank account data is consistent across treasury, ERP, and bank connectivity processes.

Finance → Treasury → Bank Account Management → Account Master Data · BusinessTaxonomy Seed · 2026-01-06

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Intercompany settlement postings and statements for in-house banking

As a Treasury Accounting user, I want to post intercompany settlements and produce statements for participating entities, so that entities can reconcile in-house bank activity and accounting is complete.

Finance → Treasury → In-House Banking → Intercompany Settlement · BusinessTaxonomy Seed · 2026-01-06

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Intercompany netting run with approvals and settlement proposals

As a Treasury Analyst, I want to create a periodic netting run that calculates net positions by entity and currency, so that we reduce payment volume and settle intercompany positions efficiently.

Finance → Treasury → In-House Banking → Netting · BusinessTaxonomy Seed · 2026-01-06

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Automated bank statement import

As a Treasury Analyst, I want to import bank statements automatically from all configured banks, so that cash position and reconciliation are always current.

Finance → Treasury → Bank Connectivity & Statements → Statement Ingestion · BusinessTaxonomy Seed · 2026-01-05

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Normalize bank statement formats into a single model

As a Treasury Operations user, I want to normalize incoming statement formats into a standard data model, so that downstream processes can work consistently across banks.

Finance → Treasury → Bank Connectivity & Statements → Format Mapping & Normalization · BusinessTaxonomy Seed · 2026-01-05

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Intraday balance updates for cash positioning

As a Treasury Analyst, I want to receive intraday balance updates for critical bank accounts, so that I can make funding decisions with up-to-date cash information.

Finance → Treasury → Cash & Liquidity Management → Cash Positioning · BusinessTaxonomy Seed · 2026-01-05

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Consolidated cash dashboard by bank, entity, currency

As a Treasury Manager, I want to view a consolidated cash dashboard with drill-down by bank, entity, and currency, so that I can quickly understand liquidity and exposures.

Finance → Treasury → Cash & Liquidity Management → Cash Reporting & Dashboards · BusinessTaxonomy Seed · 2026-01-05

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Short-term cash forecast using expected inflows/outflows

As a Treasury Analyst, I want to produce a short-term cash forecast using expected inflows and outflows, so that I can plan liquidity and avoid overdrafts.

Finance → Treasury → Cash & Liquidity Management → Cash Forecasting · BusinessTaxonomy Seed · 2026-01-05

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Scenario analysis for cash forecasts

As a Treasury Manager, I want to create and compare forecast scenarios (base, downside, stress), so that I can plan funding actions under uncertainty.

Finance → Treasury → Cash & Liquidity Management → Liquidity Planning & Scenarios · BusinessTaxonomy Seed · 2026-01-05

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Intercompany funding proposals based on liquidity gaps

As a Treasury Analyst, I want to generate intercompany funding proposals based on forecasted liquidity gaps, so that funding actions are consistent and traceable.

Finance → Treasury → Cash & Liquidity Management → Intercompany Funding · BusinessTaxonomy Seed · 2026-01-05

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Create payment run from ERP proposals

As a Payment Processor, I want to import payment proposals from ERP and create a payment run, so that we reduce manual work and avoid data entry errors.

Finance → Treasury → Payments & Disbursements → Payment Initiation · BusinessTaxonomy Seed · 2026-01-05

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Threshold-based payment approval routing

As a Treasury Manager, I want to route payment approvals based on amount, entity, and bank account, so that we enforce policy and reduce fraud risk.

Finance → Treasury → Payments & Disbursements → Approvals & Controls · BusinessTaxonomy Seed · 2026-01-05

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