Add completed charges to bookings ledger for September
Add completed charges to bookings ledger for September
Your booking payments and appointments arrive separately, delaying reconciliation and misallocating fees. It logs charges to a September ledger so billing staff can reconcile records same day.
Workflow preview:
Zap details:
Overview
When payments and bookings are recorded in separate systems, month-end reconciliation stalls and fee allocation errors multiply. This flow centralizes successful charges into a September ledger and matches them to appointments so billing staff can reconcile same day and close the month faster.