Update return finance records from incoming webhook events

Your return financial webhooks are unlogged, causing mismatched refunds and delayed reconciliation. It updates returns records so billing can reconcile refunds same day.

Update return finance records from incoming webhook events

Overview

Unrecorded return events turn into reconciliation headaches and customer refund delays; this flow captures incoming return webhooks and writes accurate refund amounts into your returns ledger. Finance teams can reconcile returns same day and close outstanding refund gaps before the next accounting run.

Update return finance records from incoming webhook events