Sync new subscribers to accounting records
When a new customer is added in Andpay, sync their customer record in AccountingSuite so ledger entries match master customer profiles.
See all AccountingSuite + Andpay integrations or talk to a human
Google for Startups AcceleratorHow Knit builds this workflow
The Agent researches both APIs and wires the trigger on one side to the action on the other — no pre-built connector required. Here is the vocabulary it has to work with.
AccountingSuite Explore AccountingSuite →
TriggersFires when a new invoice is created in AccountingSuite.
Fires when a payment is recorded in AccountingSuite.
Fires when an invoice in AccountingSuite passes its due date unpaid.
Fires when a new expense is recorded in AccountingSuite.
Creates a new invoice in AccountingSuite.
Records a payment against an invoice in AccountingSuite.
Creates a new expense entry in AccountingSuite.
Syncs a customer's billing record in AccountingSuite.
Andpay Explore Andpay →
TriggersFires when a new customer is created in Andpay.
Fires when a subscription is canceled in Andpay.
Fires when a new invoice is generated in Andpay.
Fires when a payment attempt fails in Andpay.
Creates a new customer in Andpay.
Creates a new subscription in Andpay.
Cancels an existing subscription in Andpay.
Updates a customer's billing details in Andpay.
More AccountingSuite + Andpay workflows
See all AccountingSuite + Andpay integrations → · Browse the full workflow library →
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Common questions
Can Knit build “Sync new subscribers to accounting records” between AccountingSuite and Andpay?
Yes — describe it in the box above and Knit's Integrations Agent researches AccountingSuite and Andpay's public API docs (or your own uploaded docs) and builds a working workflow, whether or not either app already has a pre-built connector.
How long does it take to build?
Minutes to a first working version, not weeks — you test it against real data before it goes anywhere near production.
Why should billing tools be connected to accounting software?
Automating sync between Andpay and AccountingSuite prevents manual entry errors, accelerates month-end reconciliation, and ensures accurate financial reporting.
How are customer balances kept updated across systems?
When payments are received or invoices generated, account balances and entries automatically sync across both Andpay and AccountingSuite.