Keep finance engineers' subscription ledger up to date
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.
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