Features
Legal accounting solutions
With esiLaw 360, all your legal accounting needs are integrated and fully streamlined, making your accounting tasks a breeze.
Law firm accounting
Legal compliance ready
With esiLaw 360’s full features, rest assured that your reporting will comply with local rules and regulations, bringing you the peace of mind you need.


For the
Law Firm

For the
Law Firm:

For the
Accountant

For the
Accountant

Canadian trust accounting
Easily access client matters, trust transaction history and balances, giving you a comprehensive overview of client trust and matters across the board. esiLaw 360 is designed to keep your firm in full compliance with local trust rules and regulations.


Set up unlimited accounts

Process trust receipts

Transfer trust between clients and matters

Detailed client and matter trust ledgers

Handle regular and interest bearing trust

Write and print trust checks

Apply trust payments to bills

Comprehensive trust reporting

Client and firm expenses
Recording and managing expenses is made easy with esiLaw 360.

Disbursement and expense entry for internal client costs

Customizable expense codes to speed up transaction entry

Automatically group similar expenses on bills

Pay client and firm expenses by credit card

Check writing and A/P invoices for third party client and firm costs

Set tax settings on expense codes to autofill taxes

Full integrated vendor and payables features

Invoice and payment ledger and payables reports

Time and fees
If your firm is primarily based on flat fee or contingency billing, esiLaw 360 allows you to create flat fee bills on-the-fly. esiLaw 360 does all the heavy lifting while combining speed and efficiency, ultimately putting more money in your pocket.


Fast time and fee entry

Use preset codes and auto text to speed up entry

Automatic timer and spell checker

Flip between time entries at any time

Multiple rate options by lawyer/ timekeeper and client

Transaction processing

Time and fee entry

General and trust checks

Transfers and payments

Unbilled disbursement payments

Refund and NSFs

Disbursement or expense entry

Trust receipts

Bill payments

General receipts

Credit card and EFT transactions

Accounting reports


Clients and matters

Lawyers and timekeepers

Vendors and payables

Event, tasks and reminders

Open and closed files

Transactions, receivables and trust

Financials and taxes

Contacts and more

Banking and reconciliation

Online client payments

Automatic client payment deposits into your account

Post adjustments and balance your accounts all on one screen

Clear checks and deposits

Automatic reconciliation backups with all
supporting reports.
Automatic reconciliation backups with all supporting reports.

Ability to import bank statements
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