Create bank transaction rows in central finance spreadsheet

Your bank transactions arrive without structured context, forcing manual classification and delaying reconciliation. It logs each transaction to your finance sheet for reconciliation before month-end.

Create bank transaction rows in central finance spreadsheet

Overview

Unstructured bank feeds make month‑end slow and error prone. This captures every transaction into one finance sheet so accounting staff can reconcile faster and produce reports ahead of month‑end.

Create bank transaction rows in central finance spreadsheet