Create warehouse intake rows from updated inventory entries
Create warehouse intake rows from updated inventory entries
Your subproduct intake entries in the warehouse sheet go unlogged, causing stock records to drift and delaying counts. This creates intake rows so warehouse managers have accurate receipts same day.
Workflow preview:
Zap details:
Overview
Missed warehouse worksheet updates create blind spots in stock and slow reconciliation; this flow turns qualifying sheet changes into intake ledger rows so managers see receipts same day. That reduces manual reconciliation and keeps production planning aligned ahead of daily counts.