1.Captures new cash-up record
Integrate Zapier Tables and database tools to capture the new cash-up row and record ID for downstream calculations.
When new cash-up rows arrive, totals can stay incomplete and reconciliation can stall. This automation captures new records, calculates gross and net totals, updates reconciliation status, and sets EFT and exception flagsβso your team reviews ready data without rework.
Integrate Zapier Tables and database tools to capture the new cash-up row and record ID for downstream calculations.
Integrate Formatter by Zapier and numeric processing tools to perform number math on till totals, card batches, and adjustments.
Integrate Zapier Tables and reconciliation tools to update the originating row with computed gross and net totals.
Integrate Paths by Zapier and conditional filters to route only qualifying EFT and exception records for flagging.
Integrate Zapier Tables and record editing to update EFT boolean flags and clear or zero related line items.
Integrate Delay by Zapier and workflow timing tools to add a short pause when batching updates for stability.
Build custom automations across your tools in minutes. Describe what you need, connect your apps, and create workflows without the manual effort.
Zapier connects your tools, triggers actions from real-time data, and streamlines workflows so your team can focus on what matters most.
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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