What is Dingosoft Trust Accounting?

Dingosoft Trust Accounting is distinguished as the only prominent ERP trust accounting software currently on the market. Utilizing the Sage 300 Software Development Kit, it operates as a fully integrated module that includes all vital ERP functionalities. This advancement removes the need for multiple add-ons and specialized solutions, granting users a complete mainstream ERP accounting system with built-in trust accounting capabilities. Tailored specifically for law firms, accounting practices, real estate agencies, and other sectors that handle client funds in escrow, Dingosoft Trust Accounting proves to be an essential tool. It features a powerful multi-user and multi-currency Trust Ledger that effectively manages all types of transactions, such as receipts, payments, transfers, and adjustments. Additionally, its smooth integration with Sage 300 ERP Bank Services streamlines the reconciliation of trust bank accounts by enabling the easy import of statements for automatic reconciliation. As a result, Dingosoft Trust Accounting empowers firms to elevate their financial management processes while maintaining compliance and precision in accounting practices. In an increasingly complex financial landscape, this solution provides the stability and efficiency that professionals need to thrive.

Integrations

No integrations listed.

Screenshots and Video

Company Facts

Company Name:
Dingosoft
Date Founded:
1999
Company Location:
Australia
Company Website:
www.dingosoft.co

Product Details

Deployment
SaaS
Windows
Training Options
Documentation Hub
On-Site Training
Support
Web-Based Support
Standard Support

Product Details

Target Company Sizes
Individual
1-10
11-50
51-200
201-500
501-1000
1001-5000
5001-10000
10001+
Target Organization Types
Mid Size Business
Small Business
Enterprise
Freelance
Nonprofit
Government
Startup
Supported Languages
English

Dingosoft Trust Accounting Categories and Features

Trust Accounting Software

Accrual Accounting
Activity Tracking
Asset Gain & Loss Reporting
Check Writing
Compliance Management
Cross Ledger Posting
Customer Statements
Fee Calculation & Posting
Receipt Management
Tax Management