Update automatic bank fee calculations for new rows

Your financing worksheet's new rows can leave bank fee cells empty or wrong, delaying reconciliations. It recalculates and writes fees so billing and sales ops see correct figures before close.

Update automatic bank fee calculations for new rows

Overview

Blank or inconsistent bank fee cells create extra reconciliation work and slow down closings. This workflow recalculates and writes bank fees immediately when a new financing row appears, so billing and sales ops reconcile and close accounts before the monthly cut-off.

Update automatic bank fee calculations for new rows