Lighthouse Legal Accounting Software
Copyright 1997-2012 DL Fullerton Programming and Consulting Incorporated
91 Lakewood Drive
Brookside, NS B3T 1S5
Trust Accounting
• Ability to prevent Trust Transactions if Client ID not on file
• User defined receipt types
• Enter International status on receipt entry
• Prevent posting of cheques until receipt has cleared bank
Lighthouse features Trust Accounting that fully adheres to Law Society regulations. Trust Accounting is fully integrated with all other accounting functions. As trust monies are received and disbursed, the entire system is updated with the information. The Trust Transaction Register, an on-demand report allows management to review all trust transactions for any period.

Reports and routines associated with Trust Accounting include the following:
• Client Trust Inquiry
• Client Trust Statement
• Trust Cheque Journal
• Trust Receipts Journal
• Trust Transfers Journal
• Client Trust Listing