Monitor Cash Flow from Xero in Excel
Monitor your cash flow by generating statements from Xero data into a Microsoft Excel spreadsheet. This automation helps financial managers and business owners keep a close eye on cash inflows and outflows, aiding in financial planning and analysis.
New Cash Flow Data
Triggers when new cash flow data is available in Xero.
Generate Cash Flow Statement
Creates a detailed cash flow statement in Excel.
See more Microsoft Excel to Xero integrations or use AI to customize your automation.
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How to use DryMerge
Ask for what you want.
Tell DryMerge what you want to automate using plain English. For example, "Monitor cash flow from Xero in Excel"
Monitor cash flow from Xero in Excel
DryMerge figures out the details.
Based on your description, DryMerge identifies the apps involved, determines the appropriate triggers and actions, and creates the automation for you.
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Your workflow is ready to go!
Once DryMerge has created your automation, it will run automatically whenever the trigger event occurs, saving you time and effort.
Frequently Asked Questions
Our Capabilities
See what DryMerge can do with Microsoft Excel + Xero.
Update Sheet
Updates an existing Excel sheet
List Sheets
Lists all sheets in an Excel workbook
Read Sheet
Reads the contents of an Excel sheet
New Microsoft Excel Workbook
Triggers when a new Excel workbook is created
Added or Updated Microsoft Excel Row
Triggers when a new row is added or an existing row is updated in a Microsoft Excel worksheet
Create Xero Inventory Item
Creates a new inventory item in Xero
Create Xero Contact
Creates a new contact in Xero
Search Xero Inventory
Searches for inventory items in Xero
Low Quantity Xero Item
Triggers when inventory items fall below a specified threshold
App details
Related apps
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