School owns school fees
Student billing and fee actions remain in School Management, alongside the student records and operational context that produced them.
Read the School Fees procedure →TouteGestion School Management owns the student and school-fee workflow. The dedicated Accounting product owns the General Ledger, receivables, payables, cash and banking controls, reconciliation, budgets and financial reporting.
Student billing and fee actions remain in School Management, alongside the student records and operational context that produced them.
Read the School Fees procedure →Finance manages the Chart of Accounts, journals, receivables, cash control, reconciliation and reporting in Accounting rather than duplicating ledger policy inside School.
Read the Accounts Receivable procedure →Implemented School invoice actions can deliver durable accounting events after the School write succeeds. Accounting delivery is a downstream side effect and does not invalidate a successful School fee action if delivery needs to be retried.
A school can begin with School Management and adopt Accounting when requirements extend into formal receivables, supplier payments, treasury, reconciliation, budgets or financial statements. The products remain focused while the implemented integration carries the financial handoff.