Business owners keep trade tables clean after report
Business owners keep trade tables clean after report
Business owners see outstanding trades lingering in source tables, causing duplicate rows in daily reports. It deletes processed records after the daily email so reports show only open trades.
Overview
Outstanding trade records left in source tables create duplicate reporting and force manual cleanups, putting daily decision-making at risk. This workflow removes processed entries after the daily report, preserving an accurate dataset so business owners can trust reports and avoid repetitive follow-up checks.
Notable Features
- Delete processed trade records
- Trigger on daily schedule
- Archive rows before deletion