Business owners keep daily POS sales dashboard accurate and current
Business owners keep daily POS sales dashboard accurate and current
Business owners miss POS totals hidden in daily emails, causing reconciliation gaps and unclear cash positions. Parsed sales emails add dated rows to your finance dashboard, ensuring reconciled daily sales.
Overview
Missed POS totals create reconciliation gaps and obscure cash visibility for business owners. This workflow captures parsed sales emails and writes dated rows to your finance dashboard, eliminating missed entries and delivering reconciled sales records. Customers report faster reconciliations and fewer manual errors.
Notable Features
- Extract net and gross sales
- Append dated rows to spreadsheet
- Flag or prevent missing entries