Keep broker daily allocations accurate for IT operations
Keep broker daily allocations accurate for IT operations
IT admins manage broker routing; manual counters cause over-allocation at lead distribution. A scheduled reset clears each broker's counter so routing reflects real capacity before distribution.
Overview
Manual daily counter maintenance leads to over-allocation and routing errors that block lead distribution. Implementing a scheduled reset ensures every broker's capacity is accurate before leads are assigned, creating a reliable audit trail and reducing manual interventions so ops can focus on exceptions.
Notable Features
- Clear daily counters for brokers
- Refresh broker capacity in routing
- Notify ops if resets fail