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Create bank entries from completed webhooks for ledger

Your completed payment webhooks arrive without ledger entries, causing unrecorded cash movements and slower reconciliation. Create ledger entries automatically the same day.

Create bank entries from completed webhooks for ledger

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Overview

Missed or unrecorded payment webhooks create blind spots in your cash ledger and slow reconciliation cycles. This flow converts completed payment notifications into bank transactions so your billing and accounting staff can reconcile cash the same day and reduce manual bookkeeping.

Create bank entries from completed webhooks for ledger