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Create payment records for alternate payout account automatically

Your marketplace sales often lack normalized amounts or payout routing, delaying bookkeeping and creator payouts. It posts reconciled payment records to finance for same-day reconciliation.

Create payment records for alternate payout account automatically

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Overview

Missing normalized payment records slow payouts and complicate month-end bookkeeping. This flow captures each sale, computes net creator earnings, and posts reconciled payment records to your finance endpoint so coordinators can reconcile before payout runs.

Create payment records for alternate payout account automatically