Create journal entry CSVs from weekly deposit emails
Create journal entry CSVs from weekly deposit emails
Your deposit emails include HTML tables that slow bookkeeping and delay journal entries. It converts the tables into clean journal-entry CSVs and delivers them for same-day posting.
Overview
Deposit notification emails often hide multiple account lines inside HTML tables, slowing down bookkeeping and reconciliation. This flow extracts those tables, builds per-date journal-entry CSVs, and delivers them to your accounting endpoint so finance can post entries and reconcile the same day.