Create deal revenue rows for operations and reporting
Create deal revenue rows for operations and reporting
You extract deals that include mixed product codes and values, so operations lacks clear per-code totals for reconciliation. The sheet creates per-code sums for faster review ahead of reporting.
Overview
Operations and finance often spend hours untangling product codes from deal rows to close the books. This flow extracts and sums per-code values into a tidy spreadsheet, enabling reconciliations and handoffs ahead of the next reporting cycle.