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Route payment rows from sheet into site-specific endpoints

When payment columns in your order sheet change, orders remain unrouted and reconciliation stalls. Get rows routed to site handlers so fulfillment and finance have context within minutes.

Route payment rows from sheet into site-specific endpoints

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Overview

Late or unrouted payments create fulfillment and reconciliation bottlenecks across channels. This flow routes updated payment rows to the correct site handlers automatically, giving fulfillment and finance accurate context within minutes.

Route payment rows from sheet into site-specific endpoints