Create journal entry when a deal is marked shipped

Your shipped deals lack matching accounting entries, leaving deposits unrecorded and reconciliation delayed. Create journal entries automatically so books reconcile the same day.

Create journal entry when a deal is marked shipped

Overview

Shipped deals often arrive without a corresponding accounting post, which stalls reconciliation and cash visibility. This flow posts a matching journal entry automatically when a deal is marked shipped so billing staff and the owner can reconcile books the same day.

Create journal entry when a deal is marked shipped