Create sales ledger rows automatically from incoming webhooks
Create sales ledger rows automatically from incoming webhooks
You get transaction webhooks without a consistent sales record, causing missed commission entries and slow reconciliations. Add parsed sale and commission rows so finance reconciles before reporting.
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Overview
Unhandled webhook transactions produce gaps in commission accounting and slow monthly closes. This workflow parses each payload, computes and formats sale and commission amounts, and writes clean rows to your ledger so finance can reconcile before the next reporting cycle.