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Guide to Setting Up Fee Rules, Issuing Manual Fees, and Disbursing Fees

Video guide to setting up fee rules, issuing manual fees, and disbursing fees in Re-Leased Client/Trust Accounting.

Updated this week

This video guide covers setting up fee rules, issuing manual fees, and disbursing fees for Client/Trust Accounting users.


For Asia-Pacific customers, the term "Trust Account" is used. European customers refer to this as "Client Account". Client/Trust Accounting is not available to customers in North America. For more information on regional terminology, see our Glossary of Regional Terminology.

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