Replace daily billing export files in integration folder
Replace daily billing export files in integration folder
Nightly billing exports sometimes aren't refreshed in the integration folder, leaving accounting with stale CSVs that halt invoice processing. This keeps one updated billing export each evening ahead of the next billing run.
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Overview
If nightly billing exports aren't refreshed, invoices and downstream systems stall and accounting wastes time chasing files. This flow rotates and replaces the export file each evening so accounting and integration engineers always find an up-to-date CSV before the next billing run.