Log monthly booking payments to a finance sheet
Log monthly booking payments to a finance sheet
Your paid booking notices aren’t consolidated, making monthly reconciliation slow and error-prone. The sheet capture gives billing staff a clear ledger to reconcile same day.
Overview
If paid bookings aren’t recorded centrally, reconciliation drags and payout reviews get delayed. This flow writes each paid reservation into a monthly finance sheet so billing staff and the owner can reconcile same day and close the books faster.