Finance / Purchase To Pay Live

Supplier Invoice Dispute Resolution

Work out who is actually right in a supplier billing dispute — what each side's evidence supports, what neither side has established, and what to settle at. Nothing is sent.

  • Run on demand
  • ~7 credits per run
  • v1.0.0

What does Supplier Invoice Dispute Resolution do?

Supplier Invoice Dispute Resolution is a production AI agent in the finance section of the Leverge agent store, built for the purchase to pay process. Work out who is actually right in a supplier billing dispute — what each side's evidence supports, what neither side has established, and what to settle at. Nothing is sent. It runs on demand, works through 4 steps and returns 5 outputs, including where this should land.

What it needs

  • The dispute file

    File upload

    The invoice, the PO or contract it draws on, and the correspondence so far.

    pdf docx md txt csv

  • Position

    Form

What it does

  1. Reading the dispute file
  2. Weighing both positions
  3. Drafting the response to the supplier
  4. Preparing the response for approval

What you get back

  • Where this should land Classification badge
  • Response to the supplier Draft reply
  • What each side's evidence supports Breakdown table
  • What the file actually establishes Verification checklist
  • Before settling Flagged exceptions

After each run it asks: “Is this a fair read of the dispute?” Answers feed the evaluation set, so the agent is measured against your own judgement rather than ours.

When it runs

Run on demand

Oversight

Runs under scoped, least-privilege credentials with every action written to an audit log. Anything that moves money, alters a contract or reaches a customer requires human approval before it executes.

Purchase To Pay

Other agents in purchase to pay

Close, reconciliation, payables and treasury, with an audit trail

  • Purchase To Pay Live

    Duplicate Invoice Detection

    Find the invoices in a payment run that have already been paid — including the ones that arrived with a different number, a different date, or from a renamed supplier.

  • Purchase To Pay Live

    Invoice Matching

    Three-way match an invoice against its purchase order and receipt. Every discrepancy is quantified, so an AP clerk can act without reopening the documents.

  • Purchase To Pay Live

    Supplier Bank Detail Verification

    Check a supplier's bank change request against the record and against how invoice redirection fraud actually presents — before anyone updates a payment destination.

  • Purchase To Pay Live

    Supplier Invoice Processing

    Read a supplier invoice, pull out the fields AP actually posts on, and say which of them the document genuinely supports rather than which ones a parser guessed.

  • Account to Report Live

    Account Risk Classification

    Rank balance sheet accounts by how much could be wrong and nobody would notice — driven by reconciliation quality and manual-entry exposure, not by size alone.

  • Plan to results Live

    Annual Plan Review

    Review a draft annual plan before it is signed off — whether the growth is built on named actions or on a percentage, and which assumptions the whole plan depends on.

Next Step

Deploy Supplier Invoice Dispute Resolution, or adapt it

It runs as-is against the inputs above. Most deployments diverge — a different source system, a different tolerance, a different approval path. A 30-minute technical call establishes which.

Book a Technical Call
  • No sales script
  • NDA on request
  • Scoping notes sent within 48 hours
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