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Easy access and editing of transactions
Duplicate recurring transactions by using "Copy" and "Copy
and Increment Date" functions
Search for data quickly and easily using "Sort" and "Search"
features
Customize data entry using system and account level "Preferences"
Option
Utilize standard descriptions with Global user-defined tables
Create New Global Items during data entry
Drop-down user-defined tables:
Ø Assets
Ø Asset Types
Ø Payee Groups
Ø Standard Transaction
Descriptions
Ø Responsible Accountants
Ø Responsible Administrator/Attorney
information
Ø Disbursement Types
Ø Cash Accounts
Ø Capital Changes
Ø Affidavits
Transaction descriptions display exactly as they will appear in print
(WYSIWYG)
Asset-related transaction descriptions are system generated based on the
transaction date, asset type and holdings, and can be edited if needed.
Fiduciary Acquisition Values are calculated automatically on averaging
basis during data entry for accounting purposes while tax costs are calculated
separately in the background for tax reporting
Create different versions of the same case using "Copy to New ID"
function
Copy cases for a specified period for periodic reporting without affecting
original case
Transfer closing
balances from one accounting to opening balance of next accounting using
"Rollover" feature
Prepare and
reconcile separate accounts and use "Merge Account" function
to combine transactions between the accounts
Combined Transaction Screens help eliminate Duplicate Data Entry:
Ø Dividend Reinvestments
Ø Capital Gains
Distributions and Reinvestment
Ø Transfers between
Principal and Income
System
Overview |Inquiry/Printing Features
| Tax System Features
Schedules of Distributions Features | System
Requirements
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