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Create closed-deal records for ops, finance, and reporting

You receive closed-deal webhooks with policy, owner, and commission details that are hard to track across systems. Capture each deal in a central table for fast reconciliation and same-week reporting.

Create closed-deal records for ops, finance, and reporting

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Overview

When closed-deal payloads live only in raw webhooks, sales ops can’t reconcile commissions quickly and weekend work balloons. This flow records every closed deal into a central table, giving you same-week visibility for reconciliation and payout decisions.

Create closed-deal records for ops, finance, and reporting