Integrations inflow-inventory Pinch Payments
inflow-inventory + Pinch Payments

Connect inflow-inventory and Pinch Payments to Build Intelligent Automations

Choose a Trigger

inflow-inventory

When this happens...

Choose an Action

Pinch Payments

Automatically do this!

Ready to use inflow-inventory and Pinch Payments automations

Actions and Triggers

When this happensTriggers

A trigger is an event that starts a workflow.

New Sales Order Created

New Sales Order Created

Triggers When new sales order is created.

Update Customer

Update Customer

Triggers when existing customer is updated.

Update Vendor

Update Vendor

Triggers when existing Vendor is Updated.

Updated Purchase Order

Updated Purchase Order

Triggers when existing purchase order is updated.

New Purchase Order

New Purchase Order

Triggers when new purchase order is created.

New Vendor

New Vendor

Triggers when new Vendor is Created.

Do thisActions

Action is the task that follows automatically within your inflow-inventory integrations.

Create or Update Scheduled Payment

Create or Update Scheduled Payment

Create or update a scheduled payment for a payer.

Add a Source to a Payer

Add a Source to a Payer

Add a payment source (e.g., bank account or credit card) to a payer.

Create or Update Payer

Create or Update Payer

Create or update a payer in the Pinch Payments system.

Add a Subscription

Add a Subscription

Create a subscription between a payer and a plan.

Find a Subscription

Find a Subscription

Find a subscription using the Subscription ID.

Create Realtime Payment

Create Realtime Payment

Create a real-time payment against a credit card or bank account.

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Frequently Asked Questions

How do I start an integration between inflow-inventory and Pinch Payments?

To start, connect both your inflow-inventory and Pinch Payments accounts to viaSocket. Once connected, you can set up a workflow where an event in inflow-inventory triggers actions in Pinch Payments (or vice versa).

Can we customize how data from inflow-inventory is recorded in Pinch Payments?

Absolutely. You can customize how inflow-inventory data is recorded in Pinch Payments. This includes choosing which data fields go into which fields of Pinch Payments, setting up custom formats, and filtering out unwanted information.

How often does the data sync between inflow-inventory and Pinch Payments?

The data sync between inflow-inventory and Pinch Payments typically happens in real-time through instant triggers. And a maximum of 15 minutes in case of a scheduled trigger.

Can I filter or transform data before sending it from inflow-inventory to Pinch Payments?

Yes, viaSocket allows you to add custom logic or use built-in filters to modify data according to your needs.

Is it possible to add conditions to the integration between inflow-inventory and Pinch Payments?

Yes, you can set conditional logic to control the flow of data between inflow-inventory and Pinch Payments. For instance, you can specify that data should only be sent if certain conditions are met, or you can create if/else statements to manage different outcomes.

inflow-inventory

About inflow-inventory

inflow-inventory is a comprehensive inventory management software designed to help businesses efficiently track and manage their stock levels, orders, and sales. It offers features such as barcode scanning, reporting, and multi-location support to streamline inventory processes.

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Pinch Payments

About Pinch Payments

Pinch Payments is a PCI Compliant Australian payments platform designed to simplify and automate the process of rent payments and property management. It offers seamless payment processing for standard and recurring invoices, standalone transactions, and subscriptions. With Pinch, tenants and landlords can easily manage and track payments, using automated bank account, direct debit, and credit card options for a smooth experience.

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