Create spend entries from spreadsheet rows for ledger
Create spend entries from spreadsheet rows for ledger
You store property payment rows in a spreadsheet; manual bank entry delays posting and complicates reconciliation. The flow creates accounting spend entries so teams reconcile payments the same day.
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Overview
For acquisitions managers, this flow turns spreadsheet payment rows into posted spend entries so accounting no longer needs manual rekeying. It reduces month-end churn and delivers same-day reconciliation visibility for property and finance teams.