Create daily revenue records from kitchen sales sheet rows
Create daily revenue records from kitchen sales sheet rows
Your daily sales sheet isn't feeding reporting, leaving finance and site managers without service-level revenue and covers. Get reconciled records per service and location for same-day review.
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Overview
When daily POS exports only live in a spreadsheet, finance and site managers spend hours reconciling incomplete data. This flow pulls configured sheet rows each morning and writes standardized reporting records so teams have reconciled service-level revenue and covers by the start of the day.