Update subscription records on status change for billing
Update subscription records on status change for billing
Your subscription updates aren't reflected in the billing table, causing reconciliation delays. Keep statuses and period dates current so finance can reconcile before the next billing run.
Overview
When subscription statuses fall out of sync with your billing table, finance spends time reconciling and risks delayed invoicing. This workflow aligns subscription status and period dates so billing staff can reconcile and issue invoices the same day.