Intercompany Transactions
Automate Transactions Between Related Entities
Stop hand-keying journal entries every time money or value moves between your related companies. Intercompany Transactions generates the balancing due-to / due-from entries in both ledgers automatically, groups every document under a single transaction ID, and gives you a clean, audit-ready trail across all your entities.
Intercompany Transactions Features
Automated Balancing Entries
Due-to and due-from entries are created in both ledgers automatically — always in balance.
Multi-Entity Support
Move transactions between any pair of related ledgers from a single guided wizard.
Settlement Workflow
Clear outstanding intercompany positions with one-click settlement entries.
Complete Audit Trail
Every document is grouped under a shared transaction ID for end-to-end traceability.
Built to Save You Time
Ideal For
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See Intercompany Transactions in Action
Tell us about your Accounting Seed setup and we'll walk you through how Intercompany Transactions fits your workflow.