Create LLC sales receipts from trust payments for finance
Create LLC sales receipts from trust payments for finance
Your trust payment records lack entity-specific sales receipts, causing reconciliation gaps and remittance delays. It creates LLC sales receipts and alerts billing for same-day reconciliation.
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Overview
When trust payments post in your accounting ledger, finance needs entity-specific receipts to reconcile and remit without manual rekeying. This workflow creates LLC sales receipts and alerts billing so reconciliations complete the same day and remittances don't stall.