tls office presented by: brodie mulholland total legal solutions ltd

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TLS Office Presented by: Brodie Mulholland Total Legal Solutions Ltd.

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TLS Office Presented by: Brodie Mulholland Total Legal Solutions Ltd. TLS Office:. Is a system that keeps track of your firm contacts, files, time and accounting data - PowerPoint PPT Presentation

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  • TLS Office

    Presented by:Brodie MulhollandTotal Legal Solutions Ltd.

  • Is a system that keeps track of your firm contacts, files, time and accounting dataUses that information to automatically generate hundreds of complicated documents, create bills and do your legal and trust accounting Resulting in:Significant time savingSimplification of proceduresCost reductionIncreased firm profitabilityTLS Office:

  • TLS stands for Total Legal Solutions:Sounds a little boastful, but as you will see, there isnt another easy way to describe it because it is designed to combine most firm management, accounting and document generation tasks into oneWhat makes TLS unique:Enter information only once and you know it is correctMakes use of Microsoft Office software with which you are already familiar and for which there is an abundance of reasonably priced training no re-inventing the wheelDesigned specifically for the BC practitionerDocuments automatically saved to your file for easy accessIt really does integrate with other softwareColour coding of boxes for easy data entryTLS Office:

  • My experience from over 20 years of private practice is that a firms greatest single cost component is time whether lawyers or staffAs a result, any significant reduction in that time means large cost savings and increased profitabilityThe proof is in the practice I have used TLS in my own practice for the last two years without requiring any support staffTLS Office:

  • Navigating through this PresentationClick the Home button to return to the main menu at any timeLast SlideGo to start of PresentationNext SlideGo to end of PresentationExcept when you reach a Table of Contents page (example shown on the next slide), the presentation will advance to the next slide automatically after a few seconds. Instead you may use the buttons shown to take the described actionClick this now to advance to the next slide

  • TLS Office

    Select Demo to View: Contacts & Files Online Corporate Conveyancing Civil Litigation Enquiry Screen Legal Accounting Trust Accounting Document ManagementBelow is the main menu reached by clicking the Home button.This is a Table of Contents page containing links to different parts of this Presentation. To view a part, click on the name.Click this now to advance to the next slide

  • TLS Office

    Select Demo to View: Contacts & Files Online Corporate Conveyancing Civil Litigation Enquiry Screen Legal Accounting Trust Accounting Document Management

  • TLS Office

    Contacts and FilesThese are the basic building blocks in TLS

  • TLS Office

    Conflict SearchOf course, the first step when opening a file is to ensure the firm has no conflict.

  • Simply enter the first few letters of the name of the person or entity

  • If a person or entity is detected by TLS, it will appear in one of the following 4 categories

  • No conflict - the other party though has been on the other side of litigation with the firm

  • TLS Office

    Create New:

    Contact/Entity File

    in TLS

  • Enter basic contact information - name, address, telephone and email. Also easily copy contact information from an entity already in TLS

  • Select the Entity Type

  • If a Client, enter Client Number and select the billing lawyer

  • Now to open the File

  • Select or enter the usual information required to create a new File.

  • Most is available from easy to use dropdown menus which saves time and reduces errors.

  • Enter basic accounting information for the File.

  • Select what taxes apply, interest rates, reminders and Statements. You may leave as the Firm default or customize for this File

  • Create a subfolder in this case Pleadings in which to store those documents.

  • View the subfolder document area in Window Explorer with a mouse click.

  • Here is the document folder and subfolder for the File in Windows Explorer.

  • TLS Office

    Return to Main Menu Replay Contacts & Files demo

  • TLS Office

    Online

  • TLS Office

    BC OnlineHeres how to quickly connect to BC Online and login using TLS

  • Open the BC Online form

  • Open BC Online

  • BC Online opens in your Web Browser and the BC Online Helper floats over the top of the Web Page. Simply click the appropriate button to enter the information directly into the Web Page!

  • TLS Office

    Corporate Online (COLIN)Heres how to quickly connect to Corporate Online and login using TLS

  • Open Corporate Online

  • Corporate Online opens in your Web Browser and the BC Online Helper floats over the top of the Web Page.

  • Again, simply click the appropriate button to enter the information directly into the Web Page!

  • Enter the Corporation Password TLS creates a randomly generated 15 number password which it remembers for you.

  • TLS Office

    Return to Main Menu Replay Online demo

  • TLS Office

    Conveyancing

  • TLS Office

    Conveyancing

    Purchase & Mortgage Sale Return to Main Menu

  • TLS Office

    Purchase and MortgageWe will walk through some of the steps for creating a new purchase and mortgage file and the associated documents.

  • Lets suppose the Purchaser is already a Client, but the seller is new to TLS.

  • Enter the Sellers full name and contact information

  • Now create the File.

  • Select or enter the basic File information.

  • and File specific billing and accounting information.

  • Create a subfolder to store documents, if you wish. Next we enter conveyance info.

  • The File and LTO are selected

  • The parties and their law firms and lawyers are selected

  • When the party is a Mortgagee, if there is not a Form B address in TLS

  • this Form appears requesting one

  • You may copy information from another contact

  • Also, when the party is a Mortgagee, mortgage details may be entered

  • Enter more details for the conveyance

  • Just enter what you have available at the time. Its easy to go back to add more or to edit.

  • Create a draft Bill by entering the Fee

  • and selecting the Disbursements

  • Enter info about Realtor commissions, amounts owing and holdbacks. View a File Checklist

  • Check the applicable items

  • Now lets create some documents

  • This is the document print form. Simply check those you wish to create and click

  • The selected documents are automatically created with all information inserted. The property tax information request.

  • Form A Transfer

  • Property Transfer Tax Return

  • Form B Mortgage

  • Acknowledgement of Receipt of Standard Mortgage Terms

  • Authority for Disbursement of Mortgage Funds

  • Letter to Vendors lawyer with documents. Undertakings vary depending upon the information entered in TLS for the File.

  • Vendor GST Certificate

  • Notes to the Purchasers Statement of Adjustments

  • Notes to the Vendors Statement of Adjustments

  • Draft Bill

  • All documents are created in Microsoft Word

  • and stored in the File document area

  • The Statements of Adjustments are created in Excel and have provision to make additional entries and last minute changes.

  • Vendors Statement

  • Purchasers Statement

  • In/Out Statement

  • TLS Office

    Main Menu Conveyancing Menu Replay Purchase & Mortgage demo

  • TLS Office

    SaleWe will walk through some of the steps for creating a sale file and the associated documents.

  • Create the File.

  • Enter the File information. Then conveyancing details

  • and add the parties

  • and their law firms and lawyers

  • More conveyancing details

  • Create a draft Bill by entering the Fee.

  • Select the Disbursements to Bill.

  • View the Checklist.

  • Check the applicable items.

  • If you wish, create a subfolder to store the documents. Then click the Create button.

  • Select the documents to be created on the Vendors Documents Print Form, then click.

  • Draft Bill.

  • Letter to Purchasers lawyer returning documents. Undertakings change depending upon information entered in TLS.

  • Letter with Mortgage Payout.

  • All are created as Microsoft Word Documents.

  • and stored in the File document folder in Windows Explorer.

  • The Direction to Pay and In/Out Statement are created in Excel and have provision to make additional entries and last minute changes.

  • In/Out Statement.

  • TLS Office

    Main Menu Conveyancing Menu Replay Sale demo

  • TLS Office

    Civil Litigation

  • Create the File

  • Select the File

  • Enter information about the action or proceeding

  • Select the parties and their law firms and lawyers.

  • Update lists of parties to use for Style of Cause

  • Now lets create some documents.

  • Select the action type. Create a new subfolder to store the documents if you wish.

  • This is the Litigation Print Form. View (and, if you wish, edit) the Style of Cause.

  • Select the type of originating process.

  • Click Create and View Writ button

  • and the originating process with parties and law firm information inserted is created.

  • You may also create the other BC Supreme Court forms. Select the form

  • Click the Create and View Other Documents button

  • and the Form (in this case an Affidavit) is created.

  • The documents are all created in Microsoft Word

  • and stored in the File document folder

  • TLS Office

    Return to Main Menu Replay Civil Litigation demo

  • TLS Office

    Enquiry ScreenThe Enquiry Screen is the page which you will use most often

  • Select the File simply by typing in the first few letters of the name.

  • Create/access File Notes for you for this File

  • A Microsoft Word document is created and stored in the File document area.

  • Make a quick time entry for the File

  • Each lawyer and staff may have a default hourly rate for each area of practice. The applicable rate is selected (or you select another). Insert your time description.

  • Enter your time. A time sheet for the day is displayed you may edit the entries from here. Also, a summary for the day is displayed.

  • Or you may use a more detailed timesheet with a timer

  • First start the clock. You may select preset time descriptions or type in your own.

  • Selecting additional time descriptions adds them to those already there.

  • You may use the timer simultaneously for as many files at a time as you wish. You may stop and restart and TLS keeps a running total for the File.

  • Once stopped, the accumulated time is entered, rounded to the nearest tenth of an hour

  • To create a letter on the File, click the Letter, Fax or Email button

  • The default recipient is the Client. You may also select from other contacts on the File (e.g. the other lawyer) or from any contact in TLS. A default, common sense, name for the letter is suggested with a date stamp at the end to ensure that you do not overwrite an existing document. You may change this to a different name if you wish.

  • After checking Create, the letter is created. Click View to open it.

  • The letter with information inserted is created and stored in the Files document folder.

  • To view this letter and any documents for this File, simply click the Document Area button.

  • This opens Windows Explorer in the Files document area.

  • To view WIP Time, Disbursements and Trust, click the WIP & Trust button

  • Click the different tabs to view a chronological list of WIP & Trust and to view the Fee Allocation among lawyers and staff for the File

  • Click the Client Bill Status button

  • to view a chronological list of all bills, payments and adjustments for this Client

  • Click the Contact Info button to view

  • Contact information for the various contacts on this File

  • To send an email, click the Letter, Fax or Email button

  • Select to whom you wish the email sent, click the Email button

  • and an email is automatically created. Enter the text and any attachments, click send and the email is sent and stored in Outlook.

  • You may create/access an email folder in Outlook containing only email for this File simply by clicking the Email Folder button.

  • We stored the email just sent in the Outlook email folder for this File

  • Open OutlookTo keep your Outlook Contacts current, when you open Outlook

  • the above pop up form appears. Select Yes to update your contacts.

  • TLS Office

    Return to Main Menu Replay Enquiry Screen demo

  • TLS Office

    Document Management TLS Docs

  • First we will add a document from a File to TLS Docs

  • Select the folder or subfolder containing the document.

  • Click the Enter New TLS Doc button

  • Enter/select the document name, type and key words in the various categories. You may create labels for the documents and print them by clicking View Docs Labels Print List

  • The Print Document Labels List displays. If you have selected the wrong document, you may change it here

  • To view the document, click Open Document

  • The document opens

  • To find a document previously entered in TLS Docs

  • You may narrow your search to the categories shownOr search All. Click the search button

  • Enter your search criteria. Click Find Next.

  • All documents with the selected criteria will be displayed. To view the document, click the View Document button.

  • The document is automatically opened.

  • TLS Office

    Return to Main Menu Replay Document Management demo

  • TLS Office

    Trust Accounting

  • Create a new Trust Account for a File

  • Select the File for which the Trust Account is to be created.

  • Select from an existing pooled trust bank account, interest bearing or enter a new trust bank account.

  • Deposit to Trust Account

  • Select and enter details

  • After recording all receipts, create a Deposit Register for each Trust Bank Account where you are making a deposit

  • Select entries from the drop down choices, update the deposit and click Print Register

  • The Register is created and opened. Click Print.

  • Cheque to Pay Bill from Trust

  • Create a Cheque Register and select Files and Payees for Trust Cheques. Select the form of Cheque to print. Click Print Register

  • The Cheques are created, ready to print.

  • Print the Register.

  • The Register containing the Cheque details is created and ready to print.

  • Trust Reconciliation

  • Select the Trust Bank Account to be reconciled. Enter the Statement Date and Balance. Selected the cleared cheques and deposits from the Statement. Once in balance, print the Reconciliation Report

  • The detailed Trust Reconciliation Report, showing all uncleared cheques and deposits, is displayed, ready to print.

  • Trust Reports

  • Select the date range for which you wish to create the Trust Reports. These may be created giving details by File

  • or by Bank Account

  • TLS Office

    Main Menu Replay Trust Accounting demo

  • TLS Office

    Disbursements, Billing and Legal Accounting

  • TLS Office

    Disbursements, Billing and Legal Accounting

    Disbursements Billing Cheques and Bank Accounts Reports Return to Main Menu

  • TLS Office

    Disbursements

  • Regular Disbursements Select Preset

  • Check Disbursements and, if you wish, select a File to enter several Disbursements. Then select a Preset Disbursement. Preset Disbursements are simple to create.

  • After selecting the Preset Disbursement, the amount, description, Vendor, GST and PST are automatically entered you may amend any of these if you wish

  • The default offsetting double entry book keeping account is displayed or select another

  • Regular Disbursements Several for the same Vendor

  • Check Several for same Vendor, enter the total amount of the invoice, and select the Vendor

  • Select the File or GL Account

  • Select/enter the details. Click Enter

  • The Disbursement is added to the list. Select another File or GL Account.

  • Select/enter the details. Click Enter

  • Continue until all Disbursements for this invoice have been entered. Click Enter & Close

  • What if Amounts dont Match? Return to the Disbursement Entry Form

  • Select the Disbursement to be edited

  • Change the amount

  • Disbursements Edit

  • Choose the record to be edited. You may narrow your search by selecting the person who entered it, the date or the File or GL Account

  • Select the record to be edited

  • Make the changes

  • TLS Office

    Main Menu Disbursements, Billing and Legal Accounting Menu Replay Disbursements demo

  • TLS Office

    BillingThere are several types of Bills we will look at Variable (Time Description) and Fixed

  • TLS Office

    Billing - Variable

  • Select the File to bill

  • Select the Bill Type

  • Time Description and enter a name for the Bill

  • Select Time and Disbursements to Bill

  • Enter adjustments to the WIP Time and Disbursements to be billed. Click Enter Fee Allocation.

  • Fee Allocation default is based on recorded time. Adjust this by entering the % Fee.

  • The Bill has been created and posted. Now lets select the Bill Format and print the Bill.

  • Click Create Bill to open the Bill Print Form

  • Select the type of Bill Format, edit the suggested name of the Bill if you wish, and click to create the Bill

  • The Bill showing the Time Entries and Disbursements is created as a Microsoft Word document.

  • and stored in

  • the File Document area

  • TLS Office

    Billing - Fixed

  • Select the Files and Fixed Bill Types

  • Click View Bills

  • Select the Bills you wish to print and click View Bill.

  • The selected Bills are displayed

  • Print Address Labels for the printed Bills

  • TLS Office

    Main Menu Disbursements, Billing and Legal Accounting Menu Replay Billing demo

  • TLS Office

    Cheques and Bank Accounts

  • Write Cheques

  • Select whether to create a new Register or open an Existing or Closed Register

  • Choose whether the Cheques are for Disbursements or Firm Expenses, are to pay for existing or new items and select the Account

  • Select the Payee. The next cheque number is automatically selected change if you wish. Enter the amount

  • Enter a reference

  • Select the Expenses that compose this cheque

  • The Expense details are listed and totals displayed

  • Now to print the cheques. Select the print style

  • The Payee, amount and details are printed

  • for each cheque

  • Print the Cheque Register

  • Full details are printed for each cheque

  • Deposits & Bill Payments

  • Select from the dropdown list the Bill that has been paid

  • The details are inserted change the amount paid if necessary

  • Select/enter all other payments

  • Create a Deposit Register to record the deposit of Payments select the Bank Account

  • Select the Payments to be deposited to this Bank Account from the dropdown list of un-deposited Payments

  • After selecting all Payments, print the Register

  • Details of these Payments are printed

  • Bank Reconciliation

  • Select the Bank Account to be Reconciled

  • Enter the Statement Date and Balance

  • Select the Cheques and Deposits that have cleared and once balanced, print the Reconciliation Report

  • showing un-cleared items and the reconciled amount

  • TLS Office

    Main Menu Disbursements, Billing and Legal Accounting Menu Replay Cheques & Bank Accounts demo

  • TLS Office

    Reports a few examples

  • Unbilled (or WIP) Time

  • Prebilling Reports

  • Select Files

  • Accounts Receivable

  • Bills and Revenue Reports

  • Select a date range and Report

  • Select another Report

  • or another Report

  • GST and PST Reports

  • Enter the date range

  • Input tax credits and GST bill amounts are shown on the Report

  • Create the PST Report

  • Details of PST charged are listed

  • TLS Office

    Main Menu Disbursements, Billing and Legal Accounting Menu Replay Reports demo

  • TLS Office

    Corporate

  • TLS Office

    Corporate

    Incorporation Corporate Information Annual Reports & Resolutions Extraprovincial & Societies Alterations Change Offices Change Directors Dividends Share Redemptions Transition Return to Main Menu

  • TLS Office

    BC Incorporation

  • Enter the New Corporation as an Entity

  • Select/enter contact information. Copy from existing Client.

  • Enter Corporate Information

  • Select the Corporation

  • Select the type of corporation and enter its corporate details

  • Entering the Registered and Records Office Mailing and Delivery Addresses you have the choice ranging from all the same to all different. Existing address may be simply copied

  • Add the Share Structure

  • All Corporate Share Structures in TLS are listed. Select the one closest to that you wish to create and copy it.

  • Select the New Corporation and paste the copied share structure. You may edit it if you wish

  • Select Directors and Officers

  • Edit Director/Officer Addresses

  • Select/enter Delivery and Mailing Addresses

  • Enter shares to be issued

  • Enter number to be issued, select class and shareholders. Next enter incorporation specific information.

  • Select the Incorporator

  • Select/enter Incorporator Mailing and Delivery Addresses

  • Select the Completing Party

  • Select/enter Completing Party Mailing and Delivery Addresses

  • Create a subfolder to store these documents, if you wish. Select which Special Rights or Restrictions to use from listed Precedents. Click View to check them.

  • Precedent Special Rights or Restrictions

  • Lets create the other Incorporation Documents

  • This is the Incorporation Print form. Select from the documents you wish to create.

  • Share Certificates

  • Incorporation Reporting Letter

  • These documents are automatically created in Microsoft Word and stored in the File Document area.

  • Now open Corporate Online to file the Incorporation

  • The Corporate Online Form Helper floats over the Web Page. Select Incorp

  • Click the various buttons to insert the information directly into the Corporate Online Web Page Forms

  • including the Director information

  • and the Share Structure Information

  • TLS Office

    Main Menu Corporate Menu Replay BC Incorporation demo

  • TLS Office

    Corporate Information

  • To update or add information,

  • open the Corporate Information Form and select the Corporation

  • In this case, update information now that this Company has been incorporated incorporation number

  • Annual reference date for Annual Reports and Resolutions

  • and for shares,

  • the incorporation date as the date of issuance

  • TLS Office

    Main Menu Corporate Menu Replay Corporate Information demo

  • TLS Office

    Extraprovincial & Societies

  • Extraprovincial Annual Reports

  • Select the corporation and the documents you wish to create, select Print, if you wish to automatically print them, then click Create

  • and the letter with all information inserted and

  • Memorandum confirming information are created in Word and automatically stored in

  • in the File Document Area under a subfolder name BC AR Docs and the year

  • To enter file an Extraprovincial Annual Report, open Corporate Online

  • Select the Corporate Online Extraprovincial Helper and click the appropriate button to enter information directly onto the Corporate Online Web Page

  • and click to enter other information

  • BC Society Annual Reports

  • Select the Society and click Create Documents

  • Select the documents to create and click View

  • and the documents are created in Word

  • TLS Office

    Main Menu Corporate Menu Replay Extraprovincial & Societies demo

  • TLS Office

    Annual Reports & Resolutions

  • To select which Corporations to view and work with, you may choose only BC Companies, Extraprovincial, by Annual Report Month date or a custom selection

  • or select a period by Annual Report date. Click the + to record

  • information as to dates documents sent, received, filed and to keep notes.

  • You may automatically print any of the selected document for all of the listed Corporations.

  • The Documents are also created as Microsoft Word documents and stored in the File Document area. To view them, click GoTo as shown above

  • and Windows Explorer will open. A subfolder with the name AR Docs and the year is automatically created.

  • You may also print envelopes for the selected Corporations

  • or Address Labels

  • Click Details to view Online filing information

  • To file the Annual Report, click Open

  • The Corporate Online Web Page opens and the BC AR Helper floats over it, allowing for easy entry of information directly into the Web Page.

  • To create reminder letters for Annual Resolution sent before a certain date but not returned, select the date and click Create

  • TLS Office

    Main Menu Corporate Menu Replay Annual Reports and Resolutions

  • TLS Office

    Corporate Alterations steps are similar to BC Incorporation: BC Incorporation Return to Corporate Menu

  • TLS Office

    Change Offices steps are similar to BC Incorporation: BC Incorporation Return to Corporate Menu

  • TLS Office

    Change Directors steps are similar to BC Incorporation: BC Incorporation Return to Corporate Menu

  • TLS Office

    Dividends

  • Regular Dividends

  • Select whether you wish to work with an existing or create and new Dividend, select the Company and share class, the dividend recipient(s), where you wish to store the documents, then click Create Documents

  • Select the documents you wish to create, then Click to View Selected Documents

  • and the selected documents are automatically created

  • in Word

  • and stored in

  • the Document File Area selected

  • Stock Dividends

  • Select whether to create a new or edit an existing Stock Dividend, select the Company, enter dividend particulars, including the date, amount, share class declared on and class which is the stock dividend, select where you wish to store the documents and click Create Documents

  • Select the documents to be created you may change the suggested name if you wish and Click View Selected Documents

  • and the selected documents are automatically created

  • in Word

  • and stored

  • in the selected Document File Area

  • TLS Office

    Main Menu Corporate Menu Replay Dividends demo

  • TLS Office

    Share Redemptions

  • If share redemptions have not already been entered on the Corporate Information Form, Click here to enter Redemption Details

  • Select the Company, the share Redemption tab and select the share certificate whose shares are to be redeemed, and enter whether all or part are being redeemed

  • Select the Company, copy the share redemption details and paste, select where to create and store the documents and click Create Documents

  • Select the documents to be created change the suggested names if you wish - and Click Here to View Selected Documents

  • and the selected documents

  • are automatically created

  • in Word

  • and stored in the selected

  • File Document Area

  • TLS Office

    Main Menu Corporate Menu Replay Share Redemptions demo

  • TLS Office

    Transition

  • You may create letters to corporations explaining Transition. Also you may select Companies for which to create Transition Documents. These may be automatically printed by selecting Print.

  • The selected documents are created in Microsoft Word and stored in the File Document area under a TransitionDocs subfolder. Click GoTo

  • to open Windows Explorer to view/edit the documents.

  • Now to do the Transition filing. Click the Open COLIN button

  • The Colin Web Page opens and the Transition Helper floats over it. Click the appropriate buttons to automatically enter information onto the Web Page form

  • TLS Office

    Main Menu Corporate Menu Replay Transition demo

    For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.Next, since Mr. Jones is new to your office, your assistant enters Mr. Jones into TLS: the form shown on this overhead is what we call the contact information or entity information form similar to most other contact information forms one difference is that you may easily copy information from an existing contact for this contact to save typing (e.g. if the wifes contact info is already in TLS)For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.Next, your assistant creates the new File.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.Information such as: the File Type Area of Practice Billing and Responsible lawyer Basic accounting information Are entered here.For example, you have the choice as to whether: GST and/or PST are charged on fees whether interest is charged at a different rate that normally charged whether statements are sentA folder is automatically created in Window Explorer making it simple to locate all documents for this File and which may be opened automatically by clicking a button in TLS.A folder is automatically created in Window Explorer making it simple to locate all documents for this File and which may be opened automatically by clicking a button in TLS.You can see here that we have created a folder for this File with a subfolder for Pleadings.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.For most of the presentation, I will work through a new file. Lets suppose that you have recently had a new client call and that your assistant has taken some basic information from him. The new clients name is Jerome Jones and his claim is for unpaid commissions from his former employer, Clayton Crook.First, your assistant will do a conflict search: click the dropdown box, and type in a few letters of the name of the client and the other parties to determine whether there is a conflict. in this case, Crook is not a client but is a party on the other side in litigation and there is no conflict in acting for Jones.Enter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers and the information for the style of cause.Now lets create the Writ for this File. Click the Create Documents button and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the Writ and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the Writ and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the Writ and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the WritAs you can see from the overhead, the Writ is created with the party names and addresses, as well as your firm information. and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the Writ and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the WritAs you can see from the overhead, the Writ is created with the party names and addresses, as well as your firm information.Now we are back to the Enquiry Form. Lets click the Document Area button and we see that the Writ was created in Microsoft Word and stored in the folder for the File. You have now completed your meeting with Mr. Jones and wish to make notes of your meeting. Simply click the File Notes button and your notes for this particular file are opened, or, if not already created, they are created.

    Here is an example of the file notes. They are a Microsoft Word document which can be accessed by others in the firm, if you so choose. These are stored in the File folder that was just created so they may be easily located, but as I have shown above, all you really need to do is click the file notes button. Now you want to enter your time. There are several ways to do this. I will show you one. Your default hourly rate for the Area of Practice indicated for this file is the rate that appears, however you may change this by simply selecting another rate from the dropdown box You may type in the box the description or you may select from a number of preset descriptions (either those already there or ones you may easily create) which are added one after the other, separated by a semicolon Enter your time and you are doneYou will notice that your time sheet for the day appears at the bottom with the total of time recorded and Work In Progress at the bottom.

    Next your assistant adds some specifics to TLS regarding this File. Your default hourly rate for the Area of Practice indicated for this file is the rate that appears, however you may change this by simply selecting another rate from the dropdown box You may type in the box the description or you may select from a number of preset descriptions (either those already there or ones you may easily create) which are added one after the other, separated by a semicolon Enter your time and you are doneYou will notice that your time sheet for the day appears at the bottom with the total of time recorded and Work In Progress at the bottom.

    Next your assistant adds some specifics to TLS regarding this File. Now you want to enter your time. There are several ways to do this. I will show you one. Your default hourly rate for the Area of Practice indicated for this file is the rate that appears, however you may change this by simply selecting another rate from the dropdown box You may type in the box the description or you may select from a number of preset descriptions (either those already there or ones you may easily create) which are added one after the other, separated by a semicolon Enter your time and you are doneYou will notice that your time sheet for the day appears at the bottom with the total of time recorded and Work In Progress at the bottom.

    Next your assistant adds some specifics to TLS regarding this File. Your default hourly rate for the Area of Practice indicated for this file is the rate that appears, however you may change this by simply selecting another rate from the dropdown box You may type in the box the description or you may select from a number of preset descriptions (either those already there or ones you may easily create) which are added one after the other, separated by a semicolon Enter your time and you are doneYou will notice that your time sheet for the day appears at the bottom with the total of time recorded and Work In Progress at the bottom.

    Next your assistant adds some specifics to TLS regarding this File. Your default hourly rate for the Area of Practice indicated for this file is the rate that appears, however you may change this by simply selecting another rate from the dropdown box You may type in the box the description or you may select from a number of preset descriptions (either those already there or ones you may easily create) which are added one after the other, separated by a semicolon Enter your time and you are doneYou will notice that your time sheet for the day appears at the bottom with the total of time recorded and Work In Progress at the bottom.

    Next your assistant adds some specifics to TLS regarding this File. Your default hourly rate for the Area of Practice indicated for this file is the rate that appears, however you may change this by simply selecting another rate from the dropdown box You may type in the box the description or you may select from a number of preset descriptions (either those already there or ones you may easily create) which are added one after the other, separated by a semicolon Enter your time and you are doneYou will notice that your time sheet for the day appears at the bottom with the total of time recorded and Work In Progress at the bottom.

    Next your assistant adds some specifics to TLS regarding this File.Now you want to send that demand letter. On the main enquiry screen, you click the Letter, Fax or Email buttonThe Popup form shown on the overhead appears: The default is to send to the client, but you may choose from other contacts on the File, for example the other partys lawyer or from anyone in TLS A common feature of document creation in TLS is that the name is something that makes sense and should be easy to find. As well, a date stamp consisting of the Date and Time the document was created is added to the name so that you not only know when it was created, but it does not overwrite a document in the File with the same name. You may click in the box to change the document name to a different name if you so choose.Check create letter and it is automatically created and stored in the Files folderTo view the letter, click the View button.And this is what the letter looks like.It is a Microsoft Word document.We are now back at the main enquiry screen. From here you may easily access all documents for the File by clicking the Document Area button.And you can see from the overhead that the Letter was created and stored in the folder for this File.Lets look at what we have recorded on the File so far. By clicking the WIP & Trust button We can see: Time recorded by all staff members on the File Disbursements Fee allocation TrustNow lets look at the client bill status. Click that button on the Enquiry Screen and a list of all bills, payments and adjustments for this clients bills are displayed rather handy if you are speaking to a client and want to see the status quickly without having to ask your bookkeeper.Now lets look at the client bill status. Click that button on the Enquiry ScreenSince the Writ has been served, you decide to report to the client by sending him an email. Click the Letter, Fax or Email button on the Enquiry Screen as with the letter, select to whom you wish it to go the default is to the client, but you may easily select someone else. Click the Email buttonAn email message with the File Reference as the Subject is created (of course, you may change this). Just enter the text of the email, add any attachments and click send. What do you do with all those email. How do you easily find email on a file without having to print them and store them in the physical file? Another big time saver in TLS is that you can automatically create an Email Folder to store your email for each and every File. To retrieve those email, just click the Email Folder button on the Enquiry Screen and Outlook automatically opens showing all of the email for that File. Existing email may be simply moved to that Folder by dragging them.The overhead shows the Outlook Email Folder with the Email I just sent.Because of time constraints, I wont show you, but you may also automatically create Tasks in Outlook for your Files. One other feature I will show you is that you may automatically update your Contacts in Outlook from TLS, ensuring that your contact list is always up to date.When you open Outlook, the Popup shown on the overhead appears, click yes and your contacts are updatedEnter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers Enter the Court Registry, the parties and their lawyers and the information for the style of cause.Now lets create the Writ for this File. Click the Create Documents button and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the Writ and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the Writ and the Civil Litigation Print Form displays. From this form you may: edit the Style of Cause used for documents created by TLS select from the various Supreme Court forms, with the Style of Cause being automatically added create an appearance or as we are going to do, create the WritNext, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Now being the pragmatic lawyer that you are, you have collected a $2,000.00 retainer. Your bookkeeper creates a trust account for Mr. Jones for this File either by choosing from an existing Trust Bank Account or by creating a new one.Then your bookkeeper simply enters the trust receipt with a minimum of typing by selecting from dropdown menus.Then your bookkeeper simply enters the trust receipt with a minimum of typing by selecting from dropdown menus.Since you have a retainer, the bill is to be paid from monies in trust so you instruct your bookkeeper to do so. Again almost no typing is required most information is entered by selecting from dropdown boxes.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Now that the Writ has been prepared, filed and served, lets bill the File to date: Select the File to be billed Select the type of bill: you may have a fixed amount and description billa fixed description but variable amount bill (perhaps a routine divorce) anda time description bill. We are doing a time description bill. Enter a description for the bill to distinguish it from others on this fileNext, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Now that the Writ has been prepared, filed and served, lets bill the File to date: Select the File to be billed Select the type of bill: you may have a fixed amount and description billa fixed description but variable amount bill (perhaps a routine divorce) anda time description bill. We are doing a time description bill. Enter a description for the bill to distinguish it from others on this fileNext, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Now that the Writ has been prepared, filed and served, lets bill the File to date: Select the File to be billed Select the type of bill: you may have a fixed amount and description billa fixed description but variable amount bill (perhaps a routine divorce) anda time description bill. We are doing a time description bill. Enter a description for the bill to distinguish it from others on this fileNext, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Select which time entries and disbursements you wish to bill Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationYou may easily vary the percentage of the fee here I have done so to allocate the majority of the premium to the billing lawyer. Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationClick Create Bill to do so The Print Bill Screen displays. There are a number of options as to how to display a time description bill. I have selected description only, although the date, name of the person who did the work, number of hours and amount could be shown for each record.Here is the bill. and it is created in Word in the folder for the File as shown on the overhead.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Select which time entries and disbursements you wish to bill Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationYou may easily vary the percentage of the fee here I have done so to allocate the majority of the premium to the billing lawyer. Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationNext, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time. Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationYou may easily vary the percentage of the fee here I have done so to allocate the majority of the premium to the billing lawyer. Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationClick Create Bill to do so The Print Bill Screen displays. There are a number of options as to how to display a time description bill. I have selected description only, although the date, name of the person who did the work, number of hours and amount could be shown for each record.Here is the bill.Here is the bill.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Select which time entries and disbursements you wish to bill Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationYou may easily vary the percentage of the fee here I have done so to allocate the majority of the premium to the billing lawyer.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time. Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationYou may easily vary the percentage of the fee here I have done so to allocate the majority of the premium to the billing lawyer. Enter any discount or premium in this case I have added a premium of $130.00 Enter the fee allocationClick Create Bill to do so The Print Bill Screen displays. There are a number of options as to how to display a time description bill. I have selected description only, although the date, name of the person who did the work, number of hours and amount could be shown for each record.Here is the bill.The Print Bill Screen displays. There are a number of options as to how to display a time description bill. I have selected description only, although the date, name of the person who did the work, number of hours and amount could be shown for each record.Here is the bill.The Print Bill Screen displays. There are a number of options as to how to display a time description bill. I have selected description only, although the date, name of the person who did the work, number of hours and amount could be shown for each record.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, your bookkeeper enters disbursements for the File. On the overhead we show the Disbursement Entry Form. Some of the features included are: the ability to easily create common disbursement amounts and vendors, which may be selected with a click from the dropdown box enter several disbursements for a File without having to reselect that File each time.Next, the form used for