Log program deposits into a central finance sheet
Log program deposits into a central finance sheet
Program deposit bookings sit in the platform without a finance record, causing reconciliation gaps and invoicing delays. Log each deposit to a central sheet so billing can reconcile same day.
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Overview
Stop manual reconciliation work and give billing staff a single source of truth by logging program deposits as they arrive. Program coordinators and finance can reconcile same day and eliminate invoicing delays ahead of the next billing run.