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Update provider balances from daily transfers each morning

Your daily bank transfers can leave provider balances stale and delay reconciliation. It updates the provider balance so your finance team has reconciled figures each morning before close.

Update provider balances from daily transfers each morning

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Overview

Stop morning surprises in provider balances by consolidating daily transfer activity into one authoritative balance each day. Deliver reconciled figures to your finance coordinators every morning before the daily close, reducing manual checks and speeding reconciliation.

Update provider balances from daily transfers each morning