Reports - Journals
General Bank Journal
- General Bank Journal Overview
- General Bank Journal - Other Tab Report Options
- General Bank Journal - Common Tab Report Options
- Transactions That Appear on the General Bank Journal
- Reports that Reconcile to the General Bank Journal
- The General Bank Journal Balance is Wrong but the G/L Balance is Correct
Trust Bank Journal
- The Trust Bank Journal Overview
- Trust Bank Journal - Common Tab Report Options
- Trust Bank Journal - Other Tab Report Options
- Transactions That Appear on the Trust Bank Journal
- Reports that Reconcile to the Trust Bank Journal
Trust Bank Matter-to-Matter Transfer Journal
- Trust Bank Matter-to-Matter Transfer Journal Overview
- Transactions That Appear on the Trust Bank Matter-to-Matter Transfer Journal
Billing (Fees) Journal
- Finding the Outstanding Balance for Single Invoice
- Finding the Total Amount Outstanding or Accounts Receivable Balance for a Matter
- Finding the Total Amount Outstanding or Accounts Receivable Balance for a Client
- Finding the Total Amount Outstanding or Accounts Receivable Balance for a Responsible Lawyer
- Finding the Total Amount Outstanding or Accounts Receivable Balance for the Firm
- Entries That Appear on the Billing (Fees) Journal
- Reports that Reconcile to the Billing (Fees) Journal
Invoice Journal
- The Invoice Journal - Overview
- Invoice Journal - Other Tab Report Options
- Entries that Appear on the Invoice Journal
- Finding the Last Invoice Number
- Finding the Total Fees for Each Fee Credit Lawyer on Invoices with Multiple Lawyers
- Reports That Reconcile to the Invoice Journal
Write Up/Down Journal
- Write Up/Down Journal - Overview
- Entries that Appear on the Write Up/Down Journal
- Reports That Reconcile to the Write Up/Down Journal
- Finding Write Ups and Write Downs by G/L Account
- Finding Fee Write Offs By Fee Credit Lawyer
Goods and Services Tax (GST) Journal
Sales Tax Journal
Client Costs Journal
- Client Costs Journal Overview
- Client Costs Journal Other Tab Report Options
- Entries That Appear on the Client Costs Journal
- Reports That Reconcile to the Client Costs Journal
- Finding All Client Expenses that You Enter Through Accounts Payable for a G/L Account
- Finding All Expense Recovery Entries for a Matter
- Summarizing all Expenses by Responsible Lawyer
- Finding Client Expenses with a Specific Explanation Code
General Journal
General Bank Missing Checks Journal
- General Bank Missing Checks Journal Overview
- General Bank Missing Checks Journal Options
- General Bank Missing Checks Journal Entries
- Reconciling the General Bank Missing Checks Journal