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Create parsed transaction files from queued entries daily

You receive queued transaction entries with missing structured data, slowing reconciliation and delaying payments. Get parsed transaction documents and reconciliation-ready records same day.

Create parsed transaction files from queued entries daily

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Overview

Queued transaction rows that lack structured data slow billing and create reconciliation work. This flow converts queued entries into parsed, reconciliation-ready documents so billing staff can reconcile and prepare payments same day.

Create parsed transaction files from queued entries daily