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Add new bank transactions to finance tracking worksheet

Automatically monitor new transaction events from Mercury across Google Sheets. Create and update finance log rows when duplicates are detected or new references appear—so you can reconcile faster, reduce entry errors, and maintain an auditable register without manual spreadsheets.

How this automation protects your transaction register

When new transactions land unstructured, reconciliation delays and missing references can create audit risk. This automation monitors Mercury transactions and finds, creates, and updates Google Sheets rows—so your team can reconcile faster.

  1. 1.Monitor new transaction

    Integrate Mercury and finance tracking tools to capture each new bank transaction as a structured log entry.

    Mercuryor swap with your favorite app
  2. 2.Find matching row

    Integrate Google Sheets and spreadsheet tools to find an existing row by transaction reference and avoid duplicates.

    Google Sheetsor swap with your favorite app
  3. 3.Create spreadsheet row

    Integrate Google Sheets and finance tracking tools to create a new transaction row with mapped fields and two-decimal amounts.

    Google Sheetsor swap with your favorite app
  4. 4.Update row on duplicate

    Integrate Google Sheets and reporting systems to update the matching row or append metadata when duplicates appear.

    Google Sheetsor swap with your favorite app

Automate your work, your way

Build custom automations across your tools in minutes. Describe what you need, connect your apps, and create workflows without the manual effort.

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Ruggable
Calendly
Okta
Zendesk
Dropbox
Asana
Allstate
Airbnb
AktivKampagne
Lyft
Webflow
Canva
Sysco
LA Clippers
Getaround
Grammarly
HelloFresh
Lululemon
Barry's
Hopper
Casper
Hudl
Miro
The New York Times
Ruggable

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  1. Schritt 1

    Connect your tools

    Bring your apps together so information can move automatically between the tools your team already uses.

  2. Schritt 2

    Define the trigger

    Choose the events that should start your workflow, like a new submission, updated record, completed task, or customer action.

  3. Schritt 3

    Automate and measure

    Let your workflow handle follow-ups, updates, notifications, and reporting so your team can track progress and act faster.

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