Keep project managers' reservation payouts accurate
Keep project managers' reservation payouts accurate
Project managers updating bookings face payout mismatches, delaying reconciliation and risking wrong vendor payouts. This updates finance sheets so reconciliation starts faster and payouts are correct.
Overview
Project managers and finance risk reconciliation bottlenecks and incorrect vendor payouts when bookings change. This workflow keeps your finance spreadsheet aligned with reservation updates, removing reconciliation delays and helping ensure vendor payouts stay accurate.
Notable Features
- Update payout fields on change
- Recalculate fees from booking data
- Notify finance on discrepancies