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Add new membership purchases to spreadsheet for billing

Membership purchases live in separate systems, forcing manual reconciliation. It logs each purchase into a shared sheet so billing and coordinators reconcile and provision access same day.

Add new membership purchases to spreadsheet for billing

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Overview

Unlogged membership purchases create reconciliation work and delay member access. This flow captures every qualifying purchase into a shared sheet immediately, so billing and program coordinators can reconcile and provision access the same day.

Add new membership purchases to spreadsheet for billing