Create refund records from incoming webhook into sheet
Create refund records from incoming webhook into sheet
Your refund notifications lack a single ledger, causing payout delays and reconciliation gaps for returned audio products. It logs each refund to the refunds sheet so finance reconciles payouts daily.
Overview
Unhandled refund webhooks create reconciliation gaps and slow customer reimbursements; this flow captures each refund into an auditable refunds sheet so finance and returns teams see every bank-payout refund. That visibility lets teams reconcile and process payouts daily.