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What is TrustBooks?

Customized workflows designed for law firms provide clarity on your responsibilities. By integrating seamlessly with leading legal technology platforms, you can save both time and resources while effectively managing your practice. This specialized software is developed for attorneys, allowing you to efficiently address all accounting needs within your firm. It removes the complications of redundant data entry through its connections with online banking and legal software solutions. Moving funds between your trust account and operating account becomes a straightforward process. The automatic Three-Way Reconciliations assist in ensuring compliance with state bar regulations concerning your trust account management. Moreover, client ledgers are automatically updated when any transactions occur in your trust account, significantly boosting accuracy. Built-in safeguards, such as restrictions against negative client balances, are included to help maintain compliance with state bar rules. Each reconciliation process produces Three-Way Trust Reconciliations automatically, simplifying compliance management further. This not only streamlines your financial operations but also grants you peace of mind, as you can be confident that all regulatory obligations are being effectively fulfilled. Overall, the comprehensive features of this system significantly enhance the financial oversight of your law firm.

What is SaleLedger?

SaleLedger is a specialized software solution crafted for auction houses and estate-sale enterprises, aimed at efficiently managing and reconciling consignor trust accounts. The application streamlines a meticulous three-way reconciliation process that ensures the accuracy of auction settlement exports, QuickBooks payouts, and trust-account bank statements by aligning the adjusted bank balance, trust control balance, and the total of the consignor subledger. It effectively highlights any discrepancies, such as unmatched deposits, payout issues, unexplained transfers, bank fees, and stale funds, enabling users to perform a comprehensive audit. Furthermore, SaleLedger produces in-depth reconciliation reports and maintains a check register that preserves historical data for the relevant period. All data related to consignors and banking transactions is securely processed on the user’s local machine, safeguarding privacy and maintaining security. Users can enjoy a 30-day complimentary trial without incurring any charges, after which the monthly subscription fee is $129. This software not only enhances financial transparency and accuracy in auction transactions but also empowers businesses to streamline their accounting processes significantly. By utilizing SaleLedger, auction houses can focus more on their core operations, knowing their financial management is in capable hands.

Media

Media

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Integrations Supported

Additional information not provided

Integrations Supported

Additional information not provided

API Availability

API Availability

Pricing Information

$49 per month
Tier One: $49 per month
Tier Two: $69 per month
Tier Three: $199 per month
Free Trial Offered?

Pricing Information

$129/month; 30-day free trial
Free Trial Offered?

Supported Platforms

SaaS

Supported Platforms

Windows

Customer Service / Support

Standard Support
Web-Based Support

Customer Service / Support

Web-Based Support

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Training Options

Documentation Hub

Company Facts

Organization Name

TrustBooks

Date Founded

2014

Company Location

United States

Company Website

trustbooks.com

Company Facts

Organization Name

Profitpin LLC

Date Founded

2026

Company Location

United States

Company Website

getsaleledger.com

Categories and Features

Law Firm Accounting

Not specified

Trust Accounting

Check Writing
Compliance Management
Customer Statements

Categories and Features

Trust Accounting

Not specified

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