Authuman Solution

Invoice Extractor

Automated invoice processing with validation and reconciliation support.

Stop rekeying invoices by hand. Authuman extracts invoice data, validates supplier and tax details, and reconciles against your bank statements, so your finance team spends less time on data entry and more time in control.

Example outcome: reduce manual invoice entry and make exceptions easier to review.

The problem

Invoice handling eats finance team time

Most finance teams still process invoices manually, one document at a time. It's slow, error-prone, and hard to track.

  • Data from invoices is retyped into accounting tools by hand.
  • Supplier and tax details are checked manually, or not at all.
  • Invoices and bank statements are reconciled line by line.
  • No single view of what's been received, validated, or paid.

What we build

A workflow that processes invoices for you

We build an automated pipeline that reads your invoices, checks them against your rules, and hands your team clean, validated data.

  • Automatic extraction of key invoice fields from PDFs and scans.
  • eFatura validation to confirm invoices against official records.
  • Supplier and tax (VAT) verification against your data.
  • Bank statement reconciliation to match invoices to payments.

How it works

From inbox to reconciled record

  1. Invoices arrive

    Sources

    • Email
    • Upload
    • Shared folder

    Capture

  2. Data extraction

    Fields

    • Supplier
    • Invoice number
    • Date
    • Due date
    • VAT
    • Total amount

    Extract

  3. Data validation

    Checks

    • Supplier
    • Tax data
    • Duplicate records
    • Missing fields

    Validate

  4. Reconciliation

    Match invoice records with bank statement entries or accounting records.

    Reconcile

  5. Human-in-the-loop

    Exception review

    Unclear or risky cases are flagged for human review.

    Review

  6. Clean output

    • Accounting system
    • Spreadsheet
    • ERP
    • Reporting system

    Deliver

Key benefits

Less admin, cleaner control

Less manual entry

Designed to remove most hand-keying of invoice data.

Faster validation

Supplier, tax, and eFatura checks run automatically.

Cleaner reconciliation

Match invoices to payments without line-by-line work.

Fewer errors

Consistent checks reduce typos and missed details.

Centralized status

See what's received, validated, reconciled, and outstanding.

Clear exceptions

Only the invoices that need a human get one.

Example outcomes

What this can look like

  • Designed to cut the time spent entering invoice data each month.
  • Helps reduce duplicate or incorrect payments through automatic checks.
  • Can support a faster month-end close with reconciled records.
  • Example outcome: a single dashboard showing every invoice's status.

Who it's for

Built for finance teams that process real volume

Finance teams and business owners who handle a steady flow of supplier invoices.

  • SMEs handling dozens to hundreds of invoices a month.
  • Finance teams tired of manual data entry and reconciliation.
  • Businesses that need eFatura validation and clean audit trails.

Automate the repetitive work slowing your finance team down.

Let's map your invoice process and show you what an automated workflow would handle.

FAQ

Common questions

Does it replace our accounting software?

No. It feeds clean, validated data into the tools you already use.

What is eFatura validation?

It confirms invoices against official records so you can trust the data before it's booked.

What happens to invoices that don't match?

They're flagged as exceptions for a person to review, so nothing wrong flows through silently.