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Update support ticket when outbound bank payment arrives

Outbound bank transfer notices arrive without matching support ticket context, causing reconciliation delays. Keep ticket payment status current so coordinators and finance reconcile same day.

Update support ticket when outbound bank payment arrives

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Overview

When finance issues outbound transfers, support needs payment status without manual lookups. This flow updates or creates support tickets so coordinators and finance stop chasing transactions and reconcile payments the same day.

Update support ticket when outbound bank payment arrives