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.
- When this happens...Checking/Savings Account Balance UpdateTriggers when an account's balance changes.
- automatically do this!Add RowAdds a row to a table
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More things you can do with Mercury and Glide
Discover other triggers and actions you can use with Mercury and Glide
- Checking/Savings Account Balance Update
Triggers when an account's balance changes.
Try ItTriggerInstant - Failed Transaction
Triggers when a transaction fails.
Try ItTriggerInstant - Settled Transaction
Triggers when a transaction settles.
Try ItTriggerInstant - Add Row
Adds a row to a table
ActionWrite
- Cancelled Transaction
Triggers when a transaction is cancelled.
Try ItTriggerInstant - New 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 ItTriggerInstant - Transaction 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 ItTriggerInstant - Row IDRequired
ActionWrite




