Update invoice line items from incoming billing webhooks
Update invoice line items from incoming billing webhooks
Your invoices contain wrong line amounts when billing webhooks miss product or division mapping, creating reconciliation gaps. Fix invoice lines automatically so books are accurate before month‑end.
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Overview
Billing webhooks that lack mapped product or division often leave invoices with wrong line amounts, which slows reconciliation and frustrates billing owners. This flow computes the correct division and billing entity from each webhook and updates the matching invoice line so your finance team closes cleaner and faster, often same day.