Create and update ledger accounts in central table
Create and update ledger accounts in central table
You rely on account records that drift out of date, breaking reports and downstream integrations. Keep the master account table current for next-day reporting.
Workflow preview:
Zap details:
Overview
When ledger accounts drift, reports and integrations break and IT spends time reconciling mismatches. This nightly job centralizes account metadata into a single master table and keeps records current for next-day reporting and downstream systems.