Syncing BILL with BQE CORE to track project-level costs automatically.
BILL automates AP data entry and enables secure, paperless vendor bill payments, while this 2-way sync ensures that all your vital project cost data is securely stored in BQE CORE at the project & phase level.
Step 1: Enter invoices into BILL and assign line-item costs to specific projects and phases
BILL’s intuitive software automates data entry, while our integration enables you to assign individual line items to specific projects & phases from a drop-down list that syncs directly with BQE CORE.
Step 2: Data entered into BILL is automatically synced with BQE
Data entered into BILL flows back to BQE CORE—including attachments— creating a single source of truth for all critical project data.
"The team at SPRCHRGR has been exceptional throughout this process. Their professional expertise and meticulous attention to every detail we at HMV Engineers have requested have been invaluable. Their team consistently finds ways to help us achieve our goals—whether through testing, troubleshooting, or implementing effective workarounds. This unwavering support has instilled confidence in us that we can rely on them to deliver outcomes that meet or exceed our expectations."
SPRCHRGR (pronounced "supercharger") is an enterprise-grade consultancy and outsourced services team that transforms the accounting and finance function into a competitive advantage. We move beyond basic scorekeeping to provide 360° visibility into operations and opportunities.
Our team consists of financial minds, systems architects, and technology experts who serve high-growth startups, forward-thinking SMBs ($5M–$100M), and nonprofits across the United States. We specialize in:
We are "future-focused" engineers. While traditional firms look in the rearview mirror, we build the engine that helps you see several steps ahead.
Syncing BILL with BQE CORE to track project-level costs automatically.
Building investor-ready financial foundations for companies ready to raise capital or prepare for exit.
Streamlining financial reporting across multiple locations or franchises.