Keep finance ledgers accurate with incoming bank events
Keep finance ledgers accurate with incoming bank events
Finance staff miss bank webhook events, causing unlogged transactions and audit gaps during reconciliation. Events land in your finance tracking board so accounting reconciles quickly.
Overview
Unlogged bank events create reconciliation headaches and audit risk for finance teams. This workflow captures every webhook into your finance tracking board, eliminating missed transactions and providing a clear audit trail for accounting.
Notable Features
- Create reconciliation items from webhooks
- Flag anomalies for manual review
- Add raw event details to board