1.Catches payrun payloads
Integrate Webhooks by Zapier and data mapping tools to capture the payrun payload and map fields to payment inputs.
When payrun payloads arrive but mapping, FX trades, and ledger updates are handled manually, errors and delays can disrupt payroll funding. This automation catches payrun data, creates FX trades and payments, updates your ledger, and sends confirmationsβso your team can reconcile faster.
Integrate Webhooks by Zapier and data mapping tools to capture the payrun payload and map fields to payment inputs.
Integrate Zapier Tables and lookup workflows to find the client row by company name and flag unmatched records for review.
Integrate Code by Zapier and API connectors to create an FX quote, conversion, and payments from mapped amounts and credentials.
Integrate Google Sheets and spreadsheet automation to update calculator totals and append retro and reporting rows for ledgering.
Integrate Microsoft Outlook and email routing to send configured finance recipients payment IDs, totals, trade references, and dates.
Integrate Microsoft Teams and chat messaging to post a concise summary with a link to the ledger row for quick review.
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Step 1
Bring your apps together so information can move automatically between the tools your team already uses.
Step 2
Choose the events that should start your workflow, like a new submission, updated record, completed task, or customer action.
Step 3
Let your workflow handle follow-ups, updates, notifications, and reporting so your team can track progress and act faster.
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