Create standardized deposit rows from updated transaction entries
Create standardized deposit rows from updated transaction entries
Your transaction rows miss deposit tags, causing reconciliation delays. It creates categorized deposit entries and removes negative rows so ledgers are ready same day.
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Overview
Unclassified deposit rows force your accounting staff into manual triage and slow daily closes. This flow turns updated transaction rows into a clean, categorized deposit register and removes negative entries, so reconciliation is completed same day.