Create sales item rows from cash receipts per store
Create sales item rows from cash receipts per store
Your POS receipts for a configured product are unstructured, leaving cash sales and weight data disconnected from operations. Keep structured sales and weight records for same-day reconciliation.
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Overview
When cash receipts for a configured product don't flow into your operations board, inventory and daily cash totals require manual reconciliation. This pipeline captures each cash line item, calculates sold weight and posts structured rows to your tracking board, enabling same-day reconciliation and faster stock decisions.