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Update reservation payout records from spreadsheet row changes

When spreadsheet rows for reservations change, your payout records fall out of sync and reconciliation stalls. Keep records current so finance can reconcile and disburse payouts same day.

Update reservation payout records from spreadsheet row changes

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Overview

When spreadsheet edits and manual overrides scatter payout data, finance teams waste hours reconciling and miss disbursement windows. This flow centralizes those edits into your master payout table and prevents duplicate processing so payouts reconcile and can be disbursed the same day.

Update reservation payout records from spreadsheet row changes