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Keep finance engineers' subscription ledger up to date

Engineering teams miss new subscriptions in payment platforms, causing reconciliation gaps. This tool logs each subscription to a central table so finance can reconcile before month-end.

Keep finance engineers' subscription ledger up to date

Overview

Missed subscription events create reconciliation gaps and risk unrecorded revenue at month-end. This workflow captures every new subscription into a single, standardized table, eliminating missed entries and letting finance reconcile and report with confidence.

Notable Features

  • Create standardized subscription records
  • Validate payment and plan details
  • Notify finance on new entries

Keep finance engineers' subscription ledger up to date