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Add received bank transactions to central ledger sheet

Your incoming bank transactions can be missed in shared ledgers, delaying reconciliation and obscuring cash. You get a central spreadsheet record for same-day reconciliation.

Add received bank transactions to central ledger sheet

Overview

Unlogged incoming receipts slow reconciliation and leave cash positions unclear for finance coordinators and owners. This flow captures received bank transactions into a single shared ledger so your team gains same-day reconciliation visibility and faster close cycles.

Add received bank transactions to central ledger sheet