Legal accounting software

Accounting for every dollar moving in and out of your law firm.

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General ledger accounting

Fully integrated law firm accounting to eliminate errors and save you time by eliminating the need to enter the same information in multiple systems.

Chart of accounts

Set up your chart of accounts directly in Centerbase. Breakdown accounts by different criteria such as location, attorney or practice area. Build reports to better understand the most profitable areas of your firm.

Pay vendors

Whether you enter payables in our Vendor Center or you print checks for vendor bills received by the firm, Centerbase can accommodate you.

Vendor center

Enter vendor bills into Centerbase to better track when payables are due. Create memorized vendor bills for recurring payments due on a monthly basis. Quickly print checks or enter ePayment information to pay bills.

Check printing

Print checks without having to create vendor bills. Tie each line item on a check back to a firm expense account or a client cost advanced.

Free CPA login

Free license for your CPA to access Centerbase.

Online bank & credit card feeds

Connect your online bank and credit cards directly to Centerbase

Eliminate manual bill entry – Online credit card bills automatically feed into Centerbase

Track client expenses – Create client expenses directly from your credit card transactions

Link payments to transactions – Easily link payments directly to transactions in your banking feed.

Trust accounting

Trust accounting doesn’t have to be a nightmare. With a fully integrated system, you can sleep well at night knowing every dollar is accounted for.

Trust accounts

Easily keep track of your client’s funds with matter trust accounts and payments that are automatically applied to a bill balance upon posting.

IOLTA bank accounts

Keep track of multiple IOLTA bank accounts and assign accounts for each client trust to track money going in and out of your account

Trust sweep

Run our trust sweep feature to find matters with an accounts receivable balance and available funds in the trust account. Quickly create bill payments and write a check from your IOLTA to operating account.

Trust to operating transfer

Use our tool to keep account for every matter you’ve applied funds from the trust account to pay off a bill. Generate a check to move the correct funds from each of your IOLTA accounts to your Operating account.

Trust reporting

Generate reports to understand how funds are flowing in and out of trust accounts and who every dollar in your IOLTA account belongs to.

See how firms use Centerbase to streamline legal accounting processes.

“We are a Trust/Retainer heavy firm. Clients can make one payment and it directs splits between AR and replenishment retainer in trust to the correct accounts, opposed to us manually tracking and writing multiple checks or transfers from one account to the other.”

Holly Pulido
Firm Administrator, Gray Becker PC

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