Operating · Accounting Seed Add-On

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.

What You Get

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.

Why It Matters

Built to Save You Time

Eliminate manual cross-entity journal entries
Keep intercompany balances continuously in sync
Post to both ledgers in a single step
Stay audit-ready with a grouped document trail

Intercompany Transactions

Extends Accounting Seed — works inside the Salesforce you already use.

Ideal For

Industries that get the most from Intercompany Transactions

See Intercompany Transactions in Action

Tell us about your Accounting Seed setup and we'll walk you through how Intercompany Transactions fits your workflow.

Free consultation with our team
Built natively for Accounting Seed
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