Create revenue record and notify finance for redeemed liens
Create revenue record and notify finance for redeemed liens
You have lien records that miss redemption entries when status changes, causing reconciliation gaps. The workflow logs each redemption and alerts finance so accounts reconcile before the billing run.
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Overview
When lien redemptions are recorded inconsistently, finance teams spend hours chasing entries and reconciliation stalls. This workflow captures each redemption as a revenue record and notifies finance, so reconciliations are ready before the next billing run.