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Navan Expense

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Key Info:

Cloud / Online / Web based
Navan Expense interface screenshot

Navan Expense manages card and out-of-pocket spending through receipt capture, policies, approvals, reimbursements, real-time visibility and accounting integrations.

Details

Expense operating model

Navan Expense manages card and out-of-pocket spending through receipt capture, policies, approvals, reimbursements, real-time visibility and accounting integrations. Begin an evaluation by mapping how a purchase becomes an approved and posted expense. Identify the authoritative employee, card, merchant, project, tax and accounting values. Separate the steps the product should automate from decisions that must remain with an employee, approver or finance reviewer.

Practical expense scenario

Test a traveller using a linked corporate card and later adding an out-of-pocket receipt while finance monitors policy and reconciliation status. Include a missing receipt, a coding correction and one rejected item. Ask the employee, manager and finance-role tester to complete their work independently. Compare timestamps, policy messages, approval history, reimbursement state and the final accounting output with a small controlled source set.

Controls and responsibilities

Before rollout, agree card and policy administration, traveller identity, reimbursement authority, ERP mapping and the separation between travel booking and expense control. Apply least-privilege roles for employees, approvers, auditors and administrators. Confirm who may override policy, change coding after approval, release a reimbursement, issue or suspend a card and export sensitive spend data.

Integration and recovery

Use a test accounting period to validate employee identifiers, account codes, tax fields, projects, departments and currencies. Introduce one duplicate transaction and one delayed integration response. Record how the team detects the problem, prevents double posting, corrects the source and proves that the finance system and Navan Expense are reconciled.

Adoption and evidence

Measure receipt-submission time, policy-exception rate, approval age, reimbursement delay and the amount of manual recoding. Retain the approved scenario, role matrix, policy configuration, sample audit trail, integration mapping and exception log. These materials make later configuration changes reviewable without relying on vendor claims.

Security and retention

Review access to receipts, card data, employee details and exported reports. Define retention periods, deletion responsibilities and the evidence needed for an audit or employee request. Test account removal and confirm that former users cannot reopen expense records through a mobile session or integration.

Decision checkpoint

Repeat the scenario with realistic transaction volume and a second administrator. Confirm that finance can explain every state change, locate supporting evidence, export required records and recover from a failed synchronization. Treat unresolved gaps as owned implementation decisions rather than assuming additional configuration will remove them.


Features

corporate cards, receipt capture, spend policies, automatic categorization, approvals, reimbursements, budgets, ERP integrations

Location

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