Mylegalsoft for Law Firm

Mylegalsoft Vs Manual way to prepare the financial reports

Get to know your firm financial state on the go…

Mylegalsoft is a comprehensive software solution dedicated designed for law firm in Malaysia. It consists of Case Management, Document Management, Client Account and Office Account. Mylegalsoft can auto trigger the accounting treatment process when you create a bill for your client, generate a receipt or issuing a payment voucher. Your legal staff do not need to have any accounting knowledge as the system will handle the double entry job to credit or debit to respective account automatically and later you can easily generate the standard financial report like profit and loss, balance sheet, trial balance or GL with any given date range.

With Mylegalsoft, you do not need to wait for your accountant to give you the financial reports which is normally take time for them to re-key in based on your invoice/receipt/voucher hard copy. Your firm financial reports is always ready upon you bill/receipt/voucher generated.

MyLegalSoft


Client Case Management
Manage your client file systematically with flexible searching capabilities.

Document Management Module
Generate standard documents easily with the help of Microsoft Word Mail Merge function to help you create professional look document or letters on the fly.

Client Account Management
Keep track your client account accurately and say good bye to overrun or over disburse issue that cause your firm losing substantial amount of your hard earn money.

Office Account Management
Generate your firm accounting reports on the fly. No more penalty for late report submission to LHDN or bar council.

Trust Account Management
Keep track and manage trust money you collect from your client.

Proforma Bill Support
System will generate proforma bill for discussion purpose to help to ensure more accurate data reflex in your firm profit and loss reports.

Conflict of Interest Checker
Hassle free conflict checker help you to avoid any conflict of interest when you open a file for your new client.

Management Reports
Generate firm financial status report, statement of account, pending activities list, official receipt listing, payment voucher listing.

Accounting Reports
General Ledger, Balance Sheet, Trial Balance, Profit and Loss.

MyAuctionPro


Manage property assigned by bank for easy retrieval.

Auction Management
Manage auction events for a list of property assigned by bank.

Bidder Registration Module
BRegister new bidders and agents into the system during auction events.

Proclamation of Sales
Generate Proclamation of Sales, condition of sales and contract of sales based on specific format define by bank or lawyers.

PowerPoint Presentation
Auto generate power point presentation for use in auction session.

Management Reports
Generate daily auction listing report, successfully sold properties, monthly status reports.

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