Update payout totals in your revenue tracker row

Your payout notifications don't update revenue rows, creating reconciliation gaps and missed settlements. Keep payout totals current so finance can reconcile same day.

Update payout totals in your revenue tracker row

Overview

Unrecorded payouts make reconciliation slow and error-prone, tying up your finance team. This flow writes posted payout amounts into the central tracker immediately, so billing and accounting can reconcile same day and close faster.

Update payout totals in your revenue tracker row