eQuinox

Reports Index

 

 

--A--
- Account History
- Aged AR Detail by Firm
- Aged AR Detail by Timekeeper
-
Aged AR Summary by Firm
- Aged AR Summary by Timekeeper
- Aged WIP Detail by Responsible Timekeeper
- Aged WIP Exception by Responsible Timekeeper
- Audit Journal – AP Cheque Reversals
- Audit Journal – AP Cheques
- Audit Journal – AP Invoice Reversals
- Audit Journal – AP Invoices
- Audit Journal – AR Transfer
- Audit Journal – AR Transfer Redistribution

- Audit Journal – AR Write Off Reversals
- Audit Journal – AR Write Offs
- Audit Journal – Bill Redistribution
- Audit Journal – Client to Client Trust Transfer
- Audit Journal – Client to Firm Trust Transfer Reversal
- Audit Journal – Client to Firm Trust Transfer
- Audit Journal – Department Transfers
- Audit Journal – Disbursements
- Audit Journal – Disbursement Auto Transfers
- Audit Journal – Disbursement Transfer at Billing Time
- Audit Journal – Disbursement Transfers
- Audit Journal – Disbursement Write Down at Billing Time
- Audit Journal – Disbursement Write Down Reversals
- Audit Journal – Disbursement Write Downs

- Audit Journal – Disbursements at Billing Time
- Audit Journal – Fee Billings Reversal
- Audit Journal – Fee Billings
- Audit Journal – Firm Cheque Requisitions
- Audit Journal – Firm Cheque Reversals
- Audit Journal – Firm Cheques
- Audit Journal – Firm Receipt Reversals
- Audit Journal – Firm Receipts
- Audit Journal – Interest Calculation Reversal
- Audit Journal – Interest Calculation
- Audit Journal – Invested Trust Receipts
- Audit Journal – Journal Entries

- Audit Journal – Recurring Journal Entries
- Audit Journal – Time Entries
- Audit Journal – Time Recalculate Rates
- Audit Journal – Time Transfer at Billing Time
- Audit Journal – Time Transfer
- Audit Journal – Time Write Down at Billing
- Audit Journal – Time Write Down Reversals
- Audit Journal – Time Write Down
- Audit Journal – Time Write Up at Billing
- Audit Journal – Time Write Up Reversals
- Audit Journal – Trust Cheque Requisitions
- Audit Journal – Trust Cheques Reversals
- Audit Journal – Trust Cheques
- Audit Journal – Trust Receipts
- Audit Journal – Trust Transfer Deposit
- AP Outstanding by Vendor
- AP Vendor Listing
- Associate Docketed Time Analysis
- Automatic Disbursement Capture


--B--
- Bad Debt Account Detail by Working Timekeeper
- Bank Reconciliation
- Bill Entity Address Listing
- Bill Entity Relationship
- Billings, Receipts, Write Offs, Variances by Billing Timekeeper
- Billings, Receipts, Write Offs, and Variances by Originating Timekeeper
- Billings, Receipts, Write Offs, and Variances by Responsible Timekeeper
- Billings, Receipts, Write Offs, and Variances by Working Timekeeper


--C--
- Cash, Time Entered, and Fee Summary
- Cheque Listing by Bank
- Cheque Requisition Report – Firm Cheques
- Cheque Requisition Report – Trust Cheques
- Chronological WIP History
- Client Address Listing by Client Originating Timekeeper
- Client Address Listing by Client Responsible Timekeeper
- Client Bill History
- Client Financial Details
- Client Matter Address Listing
- Client Matter Financial Detail by Bill Entity
- Client Matter Financial Detail by Billing Timekeeper
- Client Matter Financial Detail by Department
- Client Matter Financial Detail by Major Client
- Client Matter Financial Detail by Nature
- Client Matter Financial Detail by Originating Timekeeper
- Client Matter Financial Detail by Responsible Secretary

- Client Matter Financial Detail by Responsible Timekeeper
- Client Matter Listing by Major Client
- Client Matter Listing by Billing Timekeeper
- Client Matter Listing by Originating Timekeeper
- Client Matter Listing by Responsible Timekeeper
- Client Matter Listing by Working Timekeeper
- Closed File History
- Closed File Information
- Closed Matters
- Collection Detail Report
- Collection Summary
- Conflict Search
- Consolidated System Listing – All Clients
- Consolidated System Listing – Bill Entity
- Consolidated System Listing – Disbursement Codes
- Consolidated System Listing – Domain Definitions
- Consolidated System Listing – Flat Fee Codes
- Consolidated System Listing – Interest Codes
- Consolidated System Listing – Language Terms
- Consolidated System Listing – Major Client
- Consolidated System Listing – Nature Codes
- Consolidated System Listing – Offices and Departments
- Consolidated System Listing – Open Clients

- Consolidated System Listing – Originating Timekeeper
- Consolidated System Listing – Responsible Timekeeper
- Consolidated System Listing – Time Codes
- Consolidated System Listing – Timekeeper
- Consolidated System Listing – Timekeeper Rates


--D--
- Deletion Report
- Deposit Slip
- Detail Trust Listing
- Docketed Time Analysis


--E--
- Employee Expense Report
- Entity Financial Detail by Bill Entity
- Entity Financial Detail by Billing Professional
- Entity Financial Detail by Department
- Entity Financial Detail by Major Client
- Entity Financial Detail by Nature
- Entity Financial Detail by Originating Professional
- Entity Financial Detail by Responsible Professional
- Entity Financial Detail by Responsible Secretary
- Entity Performance – Bill Entity

- Entity Performance- Billing Timekeeper
- Entity Performance – Client
- Entity Performance – Major Client
- Entity Performance – Matter
- Entity Performance – Nature
- Entity Performance – Originating Timekeeper
- Entity Performance – Responsible Timekeeper
- Entity Performance – Working Timekeeper
- Event Report


--F--
- File List by Billing Date by Bill Entity
- File List by Billing Date by Department
- File List by Billing Date by Major Client
- File List by Billing Date by Nature
- File List by Billing Date by Responsible Timekeeper
- File List by Billing Frequency
- Financial Summary by Nature
- Financial Summary by Responsible Timekeeper
- Firm Cash, Docketing, and Fee Summary


--G--
- GL Balance Sheet
- GL Balance Sheet Summary
- GL Chart of Accounts
- GL Detail Complete
- GL Detail
- GL Operating Statement with Variance
- GL Operating Statement
- GL Trial Balance


--I--
- Interest Earned on Invested Trust
- Interim Billing
- Invested Trust


--M--
- Maturing Trust Deposits
- Missing Time


--N--
- Nature of Practice by Timekeeper
- Nature Time Summary
- New Case Report
- Non-Billable Time by Timekeeper
- Non-Billable Time by Code


--O--
- Outstanding WIP


--P--
- Posted Time Status
- Prebill Report
- Profitability by Client


--Q--
- Quarterly Billings and Receipts


--T--
- Tax Analysis
- Time and Fee Analysis by Firm
- Time and Fee Analysis by Timekeeper
- Time and Fee
- Time Entries
- Timekeeper Billing
- Timekeeper Distribution
- Timekeeper Fee Credit Summary
- Timekeeper Rates Listing
- Timekeeper Report
- Total Hours
- Transaction Levy Surcharge
- Trust Allocation by Client
- Trust Balances by Bank

- Trust Balances by Client
- Trust Balances by Major Client
- Trust Listing by Bank
- Trust on Hold


--U--
- Unbilled Disbursement Listing


--V--
- Valuable Client Property


--W--
WIP Balancing Detail by Responsible Timekeeper
WIP Balancing Summary by Responsible Timekeeper
WIP Exception Report