EscrowBook: a closing-file escrow ledger that is not another fragile spreadsheet
Earnest money, loan proceeds, buyer funds to close — then commissions, title fees, payoffs, and seller proceeds. Between the settlement statement and the trust bank account sits a per-file spreadsheet that someone rebuilds for every closing.
EscrowBook is live
sybilgambleyyu.github.io/EscrowBook
· Source
What you get
- File header: file #, property, buyer, seller, closing date
- Receipts and disbursements with standard categories
- Running balance; cleared / uncleared flags
- Ledger CSV export — local-only
Honest limits
One file at a time — not multi-file trust accounting or an ALTA settlement statement generator. Pair with BankRec for the operating account.