Create sales ledger rows for new purchase transactions
Create sales ledger rows for new purchase transactions
Your course purchase records arrive untracked, leaving daily funnel revenue incomplete. The workflow logs each sale to your sheet so you and billing staff get reconciled reports same day.
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Overview
Manual logging of course sales wastes time and creates gaps in your revenue ledger; this flow captures every purchase and writes a standardized row into your master sheet automatically. That means reconciled sales rows are available same day for billing and reporting, reducing surprises at payday.