Send new sheet rows to external system for reconciliation

Your worksheet rows sit unprocessed, forcing manual exports and leaving downstream systems out-of-date. It delivers new rows as JSON to your processor so reconciliation runs same day.

Send new sheet rows to external system for reconciliation

Overview

Stop relying on manual exports to get work moving — this flow posts new worksheet rows to your processing endpoint and creates an audit record. Operations and integrations teams get structured data and reconciliation kicks off same day, reducing handoffs and delays.

Send new sheet rows to external system for reconciliation