Save payout CSVs for accounting clerks before the next billing run

Your payout CSVs arrive via webhook and sit unfiled, causing delayed reconciliations and missed settlement visibility. Accounting clerks get timestamped shared CSVs named for payout date so reconciliations finish before the next billing run.

Save payout CSVs for accounting clerks before the next billing run

Save payout CSVs for accounting clerks before the next billing run