Update product records from invoice webhooks for finance
Update product records from invoice webhooks for finance
Your invoice product updates don't reach your accounting items, causing billing mismatches and manual reconciliation. Keep prices, categories, and tracking aligned so invoices reconcile the same day.
Overview
When invoice item details change, billing staff can spend hours fixing prices and categories; this flow removes that manual rework. It keeps your accounting item records and tracking table aligned so invoices and reports reconcile the same day.