Custom Use Cases

Specialty deposits don't always fit an existing vertical. If the money moves based on contractual terms, has compliance rules attached, waits on conditions to be met, or splits across many parties, Hudson handles it.

Say yes to more clients

Your client's business and operational workflows might be one of a kind. However, the treasury infrastructure to support them doesn't have to be. Hudson's virtual accounting, rules-based disbursements, compliance monitoring, and payment rails can accommodate every specialty deposit need, so you can say yes to the ones that don't fit a category.

SUPPORTING clients WITH UNIQUE PAYMENT WORKFLOWS

Industries with specialty deposit needs

Escrow & Title
1031 Exchanges
Property Management
Municipal Banking
Legal Practices
Debt Restructuring
M&A Holdbacks & Earn-outs
Family Offices

Healthcare Reimbursements
Large Medical Practices
Grants & Non-Profits
Hotels & Hospitality
Seller Financing Deals
Asset-Based Lending
Private Equity
Special Purpose Funds

Oil, Gas & Mineral Royalties
Money Services Businesses (MSB)
Insurance Claims
Correspondent Banking Services
Structured Settlements
Covenant Tracking
Construction Loan Disbursements

Have a deposit use case we haven't listed? Let's talk.
Book a call

Get in touch

Book a call to see how Hudson helps grow your escrow deal book without growing the team.

Review your current escrow intake and servicing workflows
See where Hudson plugs into the systems you already use
Discuss compliance and risk considerations
Perform a deposit impact lift analysis

We’re looking forward to hearing from you.

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