Update fee transaction statuses from daily status feed

Your daily fee pushes leave transaction records out of sync, creating reconciliation gaps. Keep CRM and internal tables current so billing staff can close reconciliations same day.

Update fee transaction statuses from daily status feed

Overview

Fee-status pushes that don't update transactions force billing teams into manual reconciliation and slow settlement. This flow turns a pushed daily feed into CRM and table updates so billing staff can reconcile same day and avoid cascading delays.

Update fee transaction statuses from daily status feed