Retail supplier invoices. Detail for every shop.

Keep each shop’s paperwork separate from the start. Capture detailed supplier invoices, prepare the coding and ask local managers to approve purchases when your process needs it.

14 days free, no payment details needed.

Prepare the detail your team needs.

Use the invoice as the source, then apply the accounting decisions your business needs.

Stock and overheads need different detail

Capture lines from stock suppliers and overhead invoices. Decide which lines need expense accounts and which need existing product records in your accounting software.

QuickBooks supports two purchase line types

Datamolino supports account-based Category details and product-based Item details in QuickBooks Online. Select the export configuration for the job and check Product/Service, quantity and tax where applicable.

Keep store reporting in the ledger

Separate folders organise document work. Set the relevant supported Class, Location, Customer or Xero tracking fields so exported records also carry the intended accounting detail.

Separate the work. Connect the books.

A folder can represent a whole company, a site, a department or a project. Organise documents around the people doing the work, even when the accounts stay together.

  1. A destination for each team

    Use a folder for each shop or stock-buying team, with its own invoice intake and members. Each folder has its own email address for invoices, so the document starts in the right workspace.

  2. People and rules for that folder

    Invite the people who need that folder and set its supplier coding and optional approval workflows. Owners and Managers can manage every folder; folder members work within their assigned access.

  3. Several folders, one accounting connection

    Connect multiple folders to the same Xero, QuickBooks Online or FreeAgent organisation. Use the supported accounting codes and tracking fields to identify costs in the ledger; a folder name alone does not create an accounting category.

Invoice approvals that fit your business.

Use sign-off where it helps. It is included in Datamolino and optional for each folder.

Let the person who knows the purchase decide

A shop manager can confirm that a purchase belongs to the store and that the invoice amount is right. The approver checks the purchase and amount, and approves or rejects the invoice on the web or in the mobile app.

Let finance complete the accounting

Configure the workflow so finance can finish account codes, tax and supported tracking fields after sign-off and before export. The setup guide explains the editing permissions and when to leave automatic export off.

Match the tool to the work

If capture, coding and invoice sign-off cover your process, you may be able to reduce the cost of a separate approval subscription. Compare wider requirements such as purchase-order matching, budget checks and payment controls before replacing ApprovalMax.

Questions about this workflow

Can several folders connect to the same accounting organisation?

Yes. Multiple Datamolino folders can connect to the same Xero organisation, QuickBooks Online company or FreeAgent account. Each folder has its own document intake, members and settings. A business account is for one accounting company; a practice account can serve multiple client companies.

Do we have to use invoice approvals?

No. Approvals are included in your subscription and enabled per folder. Use them where purchase sign-off is useful, or capture, code and export without approval stages.

Are line items included in every plan?

Choose a subscription with line-item extraction when you need individual invoice lines. Totals-only plans do not include it. The pricing page lets you compare the options for your document volume.

Does a line-item export automatically match a purchase order?

No. Capturing lines and exporting product coding does not establish purchase-order matching. Test PO associations, inventory behaviour and any mixed-line requirements separately.

Try the workflow with your own invoices.

Bring a detailed supplier bill and describe who collects it, who knows the purchase and who prepares the accounts. We will walk through a folder setup that fits.