Bookkeeping built for the way law firms actually operate. We handle the trust reconciliation, IOLTA compliance, and month-end so you can focus on your clients.
Every service is designed around the specific compliance and reporting needs of legal practices.
Three-way trust reconciliation performed monthly to keep your IOLTA accounts compliant and audit-ready at all times.
Full-service bookkeeping for your operating accounts with clean categorization, bank reconciliation, and CPA-ready reports every month.
Stay ahead of bar association requirements with properly documented trust transactions and clear audit trails.
Monthly P&L, balance sheet, and cash flow statements prepared and delivered so you always know where your firm stands.