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Create bookkeeping entry for each new subscription payment

Your subscription payments in Stripe aren't captured in your finance sheet, creating reconciliation gaps and late reports. Add complete subscription lines for same-day financial reporting.

Create bookkeeping entry for each new subscription payment

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Overview

Uncaptured subscriptions create reconciliation work and delay month-end close. This flow writes each subscription with tax and net lines into your finance sheet so billing staff and project managers gain same-day visibility for reporting and reconciliation.

Create bookkeeping entry for each new subscription payment