Post received bank transactions to finance team channel
Post received bank transactions to finance team channel
Your incoming bank transactions can be missed in the ledger, delaying reconciliation. This gives your finance team quick review and same-day reconciliation.
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Overview
When receipts land unseen in the ledger, reconciliation stalls and billing staff chase context. This flow posts concise transaction details to your finance channel within minutes so coordinators can triage and reconcile the same day.