Create retail sales rows from completed POS orders
Create retail sales rows from completed POS orders
Your POS orders lack per-item rows in shared records, causing reconciliation delays and inventory mismatches. Capture and append per-item sales so finance and managers reconcile by the next day.
Overview
Untracked per-item sales create reconciliation friction and inventory errors across stores and finance. This flow captures completed POS orders and writes per-line rows into a shared worksheet so managers and accountants have auditable records by the next day.