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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.

Create LLC sales receipts from trust payments for finance

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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.

Create LLC sales receipts from trust payments for finance