Add new rows in Glide for updated account balances in Mercury
This workflow springs into action when there's a change in your Mercury app account balance. It then swiftly adds a new row in your Glide app. This efficient process not only saves you time but keeps your data up-to-date in real time. Whether you're managing personal finances or business accounts, this seamless integration between Mercury and Glide ensures accuracy and timeliness of your financial records.
This workflow springs into action when there's a change in your Mercury app account balance. It then swiftly adds a new row in your Glide app. This efficient process not only saves you time but keeps your data up-to-date in real time. Whether you're managing personal finances or business accounts, this seamless integration between Mercury and Glide ensures accuracy and timeliness of your financial records.
- When this happens...Checking/Savings Account Balance Update
Triggers when an account's balance changes.
- automatically do this!Add Row
Adds a row to a table
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Checking/Savings Account Balance Update
Triggers when an account's balance changes.
Try ItFailed Transaction
Triggers when a transaction fails.
Try ItSettled Transaction
Triggers when a transaction settles.
Try ItAdd Row
Adds a row to a table
Cancelled Transaction
Triggers when a transaction is cancelled.
Try ItNew Transaction
Triggers when a new transaction is created on any bank account (eg. Checking or Savings). Optionally, can also include any Credit account (eg. Physical/Virtual Credit or Debit). This trigger fires before the transaction settles.
Try ItTransaction Update
Triggers when a transaction changes status. This will trigger on any update to a transaction, including revisions to the amount following settlement, such as in the case of tips for service staff.
Try ItRow IDRequired


