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The Trust Accounting capabilities of Orion are completely integrated with all other Orion applications. Since trust accounting is processed using the same standard screens, you are able to process trusts at the same time as other daily activities. This product is able to process seemingly unlimited numbers of trust transactions through several bank accounts. You are able to setup an unlimited number of Trust Bank Accounts for reconciliation. Additionally, each matter can have an unlimited number of trust bank accounts assigned to it. All balances and audit trails by matter are compiled and maintained by Orion, for each trust account. Trust Bank Account assignment is seamlessly integrated with Orion’s A/R Entry, Voucher Entry, Bank Reconciliation and various inquiries and reports. Finally, this product is able to generate your daily deposit, client matter ledger, and trust/retainer balance reports for a single account or all your trust accounts.
"Trust Accounting" is part of the Orion line of products, developed by Orion Law Management Systems.