Attorney & Law Firm Accounting

Vandayam's Accounting Services For Attorney & Law Firm

Specialized accounting and bookkeeping services for attorneys and law firms to help you manage trust accounts, client retainers, billing, and financial records with accuracy and confidence.
Trust Accounting
Client Retainers
Legal Billing
Financial Reporting
Compliance & Accuracy
BUILT FOR ATTORNEYS & LAW FIRMS

Accounting Built Around Your Legal Practices

We understand the unique accounting requirements of attorneys and law firms. From trust and IOLTA accounts to client retainers and billing, we help you maintain accurate records while ensuring client funds are properly tracked, reconciled, and reported.

Our specialized accounting services give you clear visibility into your financials, so you can focus on what matters most — your clients and your practice.

From transaction to Greater Confidence

Track
Client Funds
Reconcile
Accounts
Identify
Discrepancies
Generate
Reports
Stay
Compliant
Focus on
Your Practice

Our Attorney & Law Accounting Services Include

Trust & IOLTA Account Accounting

Accurately track activity in trust and IOLTA accounts and ensure records remain aligned with client funds.

Client Retainer Fund Tracking

Maintain detailed records of client retainers and ensure balances are properly accounted for at all times.

Client-Wise Liability GL

Create client-specific liability accounts to track each client’s trust balance separately.

Monthly Trust Reconciliation

Prepare detailed month-end reconciliation reports and highlight differences for prompt resolution.

Trust-to-Retainer Balance Matching

Help ensure total trust account balance matches outstanding client retainer liability.

Client-Level Transaction Tracking

Track deposits, payments, transfers, earned fees, and disbursements at the individual client level.

Legal Billing & Invoicing

Assist with invoice management, billing records, and coordination between billing activity and accounting.

Month-End Financial Reporting

Provide accurate financial statements & reports on revenue, expenses, receivables, outstanding balances.
TRUST ACCOUNTING YOU CAN RELY ON

Protecting Client Funds, Supporting Your Success.

Client funds require a higher level of accounting discipline. We maintain client-wise retainer liability accounts, reconcile trust/IOLTA accounts monthly, and provide detailed reconciliation reports highlighting differences that require attention.

Whether you are a solo attorney, growing law firm, or multi-attorney practice, we help keep your trust accounting, client retainers, billing, and financial records accurate, organized, and ready for review.

LET’S BUILD A STRONGER TOMORROW

Let’s Take the Complexity Out of Your Law Firm Accounting.

Get accurate books, clear financial reports, and peace of mind.
Frequently Asked Questions

Manufacturing Accounting FAQs

What is trust accounting for attorneys?

Do you provide accounting services for attorney trust and IOLTA accounts?

How do you track client retainer funds?

Do you create client-wise General Ledger accounts for retainers?

Do you reconcile the trust/IOLTA account every month?

What is included in your monthly trust reconciliation report?