Update asset counts when inventory sheet is updated

Your inventory sheet and database can fall out of sync, causing device counts and new flags to be inaccurate. Keep records current so IT asset managers can run same-day audits and provision devices.

Update asset counts when inventory sheet is updated

Overview

Stale device counts slow provisioning and make audits painful; this flow keeps your inventory database aligned with the spreadsheet changes. Asset managers get accurate counts and same-day visibility so provisioning and audits finish without manual reconciliation.

Update asset counts when inventory sheet is updated