Create revenue and cash rows from invoice webhooks
Create revenue and cash rows from invoice webhooks
Invoice and payment payloads arrive without ledger rows, so billing lacks reconciled records. Create matching revenue and cash rows so finance sees reconciled entries same day.
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Overview
Incoming invoice and payment payloads often land unrecorded, pushing reconciliation to month-end and creating blind spots for billing. This flow writes revenue and cash rows into your finance worksheets and notifies billing on exceptions, so reconciliations can be completed same day.