Create payment report items from new transactions daily
Create payment report items from new transactions daily
Your transaction records with settled amounts and product balances are scattered, forcing manual billing reconciliation. Get a consolidated payment digest for billing and reconciliation the same day.
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Overview
Scattered payment rows create busywork for billing teams; this flow compiles each transaction into a single, human-readable digest so coordinators stop searching across records. The result: a ready summary your finance team can use for same-day reconciliation and dispute handling.