Branded seller-finance deal analysis
Morby Method
Stack Method

Turn seller-carryback deal analysis into branded lead flow.

MyStackCheck helps users model seller-carryback structures, transactional funding needs, buyer funds, seller proceeds, DSCR, and cash flow — then generate branded deal summaries, LOI artifacts, and high-intent submissions you can route into your follow-up pipeline.

Tier 1 uses a MyStackCheck-hosted subdomain. Tier 2 uses the client’s own custom domain.

Try the Calculator

Preview the current MyStackCheck beta calculator before requesting your own branded setup.

Open Beta
MyStackCheck beta calculator mobile preview showing loan inputs and deal snapshot

Built to turn deal analysis into deal flow.

Each instance helps users review seller carryback structures, transactional funding needs, buyer funds, deal cash flow, and qualified LOI delivery workflows where enabled.

Self-serve deal analysis

Users model the stack themselves before submitting a summary or LOI artifact.

Email + PDF workflows

Send user/admin summaries, branded PDF links, reloadable deal links, and LOI outputs where enabled.

Marketing pipeline-ready submissions

Tier 2 can route structured deal data into Google Sheets, webhooks, Zapier, Make, Airtable, GoHighLevel, or other workflows.

Your leads stay yours.

Each branded MyStackCheck instance allows clients to capture and own their deal flow. MyStackCheck will never use, market to, resell, or repurpose leads captured through client white-labels. Submitted deal information is used only to power the requested workflow: summaries, PDF links, LOI delivery where enabled, and instance/admin notifications. Deal information is permanently deleted from MyStackCheck upon deal expiration.

From analysis to pipeline.

Users model the stack themselves, generate a summary or LOI artifact, and submit structured deal data. Tier 1 delivers submissions by email. Tier 2 adds capability to also route deal data into Sheets, webhooks, Zapier, Make, Airtable, GoHighLevel, or other operating workflows.

Choose your setup.

Start with a hosted client instance or move into a full white-label custom-domain setup. In both tiers, client leads captured through the instance belong to the client.

Tier 1

Email-based lead intake

$199 / year
clientname.mystackcheck.com
  • Branded deal app page
  • User/Admin emails with deal summary
  • Email-only lead capture
  • Email link to branded PDFs
  • Reloadable deal links
  • PDF links active for 72 hours
  • Branded PDFs with MyStackCheck attribution

Lifetime Price Lock

Get Tier 2 white-label access with a one-time payment. Includes all future MyStackCheck updates while the account remains active and in good standing.

$2,499 one-time payment

Tier 2 adds white-label presentation and operator-ready deal routing.

Tier 2 is built for custom-domain, branded deal analysis and structured submission workflows. Use it for public-facing intake, internal team screening, or routing seller-carryback deal submissions into your operating pipeline.

White-label presentation

Custom domain, client-branded user/admin emails, 14-day PDF links, custom deal references, optional client Terms/Privacy links, and PDFs without MyStackCheck branding.

Operator routing roadmap

Upcoming options include Google Sheets/webhook handoff, deal data capture into Drive, Airtable, or similar tools, configurable LOI gating rules, and basic submission stats.

Questions about MyStackCheck.

Quick answers about seller-carryback deal analysis, branded instances, lead capture, and routing.

What is MyStackCheck?

MyStackCheck is a branded seller-finance deal analysis tool that helps users model seller-carryback structures, transactional funding needs, buyer funds, seller proceeds, DSCR, and cash flow. Users can generate deal summaries, PDF links, LOI artifacts where enabled, and reloadable deal links.

What is a seller-carryback deal analysis tool?

A seller-carryback deal analysis tool helps model how a primary loan, seller carryback, down payment, closing costs, transactional funding, seller liens, and deal cash flow work together. The goal is to see whether the structure makes sense before spending time pitching, funding, or documenting the deal.

What is Tier 1?

Tier 1 is an email-based lead intake setup hosted on a MyStackCheck subdomain. It includes a branded deal app page, user/admin email summaries, PDF links, reloadable deal links, and MyStackCheck-attributed PDF artifacts.

What is Tier 2?

Tier 2 is the white-label operator setup. It adds a custom-domain branded app, client-branded user/admin emails, longer PDF link availability, custom deal references, optional client Terms/Privacy links, and planned structured routing into Sheets, webhooks, or operating workflows.

Can MyStackCheck route submissions to Google Sheets or a CRM?

Tier 2 is designed for structured deal-data handoff. Planned routing options include Google Sheets, webhooks, Zapier, Make, Airtable, GoHighLevel, and similar tools so operators can move submissions into their own follow-up or CRM workflow.

Does MyStackCheck market to client leads?

No. Leads captured through client white-label instances belong to the client. MyStackCheck does not use, market to, resell, or repurpose leads captured through client white-labels. Submitted deal information is used only to power the requested workflow and is deleted from MyStackCheck upon deal expiration.

Turn seller-carryback analysis into deal flow.

Tell us whether you want Tier 1 email intake, Tier 2 white-label workflow, Lifetime Price Lock, or have a general question.