May 26, 2020 02:44 PM
Hi folks,
I’ve been working on getting all of the transactions from various accounts (different credit cards, debit, investments) into one base for YEARS. Up until now, it’s been a series of monthly CSV imports (using CSV import block) which was a huge pain. Frankly, most months I’d give up and not do it.
That is until I discovered TillerMoney and Parabola. Tillermoney imports all of my transactions into a spreadsheet and Parabola lets me setup a nightly runs to sync transactions between the Tillermoney sheet and my airtable base. From there, I can easily map each transaction to a category using a linked record on the vendor (working on standardizing vendor names with a script!)
A few Qs that I expect to come up:
All of the resources are here:
Let me know if this useful to you or if you have any qs!
Jul 10, 2020 07:53 PM
Hi Aron. This looks awesome! thanks!
FYI, the parabola recipe link that you shared here: https://community.tillerhq.com/t/tiller-budget-in-airtable/4387 isn’t working
could you please share a correct link?
thanks
Jul 13, 2020 06:22 AM
Hi Jack!
Glad you enjoyed the template :slightly_smiling_face: could you tell me what you mean by isn’t working? It should give you a the different elements you need to but you still need to update it to match your process (your API key, airtable base, tiller sheet etc.)
I added the different resources in the post on top as well!
Let me know!
Jul 13, 2020 08:05 PM
ignore. actually it is working. thanks!