Create sale change log rows for sales reconciliation
Create sale change log rows for sales reconciliation
Your CRM sale changes lack an export, creating reconciliation gaps and lost pipeline context. It records each changed sale to a central spreadsheet so controllers have reconciled records by end of day.
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Overview
When sale fields are updated without a central export, reconciliation and reporting suffer and controllers spend hours piecing changes together. This flow captures each change into a formatted ledger so sales ops and reporting managers have reconciled records available by end of day.