September 2018 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added econveyance disbursement import template to the Import & Export feature as a standard template. This can be used to import disbursement transactions that are exported from econveyance. Before you can use the import template you […]

We Have a New Mailing Address!

Exciting things are happening at ESI Software Inc. and we want to share some important news with you. The recent acquisition of ESILAW by Dye & Durham is going to continue fueling growth, making a move to a new facility necessary in order to join the Dye & Durham team. […]

August 2018 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added editing capabilities for general bank transactions in the Find feature. Access to editing functions are available on right click menus. Transactions such as time and disbursement entries, bills, payments, cheques and receipts can now be […]

Dye & Durham Acquires ESILAW

Dear customers, I am reaching out to you to share some exciting information. Today, it was announced that Dye & Durham Corporation, has acquired full ownership of ESI Software Inc. With offices in Vancouver and Toronto and the U.K., Dye & Durham is a leading provider of easy-to-use legal software […]

May 2018 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added view buttons to Enter Time and Enter Disbursements to allow users to view transactions and print or export them prior to posting. Added a new Bill Summary feature under Reports > Accounts Receivable. This feature […]

March 2018 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. In Create Pre-bills & Bills, added the ability to add bills with different periods or months to the list of clients to be billed. The current restriction to only allow posting of selected bills in the […]

February 2018 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added new deposit slip report to allow users to print a standardized bank deposit slip with cheques, cash, and signature lines. The deposit slip can be produced with the deposit listing when a deposit is finalized. […]

January 2018 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added a new time entry report option to the Snapshot feature, which allows users to run their own time or fee entry report. A date range can be applied allowing the user to easily view their […]

December 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Improved the customization of disbursement code tax rates to allow for more flexibility and custom tax rates. Updated the Transaction Listing report to show client matter address and additional contact information.  Also added the option to […]

ESI Payroll 2018 Update Now Available

The 2018 payroll tax table update is now available for download through the payroll software. To obtain the latest update use the Check for Updates and Install updates feature in ESI Payroll. Please ensure you run your final 2017 payroll prior to installing the 2018 update. If you require further […]

November 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added autosave by user option to various receipt forms for Print on Save. This prevents the user from having to select the option each time. Added a spacebar function in the bank reconciliation window to allow […]

October 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added a new disbursement credit feature to allow posting of disbursement credits (e.g. a lump sum credit for photocopying rather than editing individual disbursement transactions). This is useful when disbursements are grouped on a bill and […]

September 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Updated Deposit & Receipts Journal, Bank Journal and Receipts Journal to show specific client information for transactions where multiple trust transfers to pay bills were grouped on a single cheque. This allows the user to easily […]

August 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added a new feature to allow editing of paid and unpaid bills from Clients & Matters and the Find feature. Added a new Audit Journal report to allow reporting on all bank transactions for trust or […]

July 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added write down feature in Clients & Matters and Find to allow write downs of unpaid and partially paid bills.  This feature allows the user to write down fees, disbursements and taxes. Added Save & Close […]

June 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added Batch transfer / write off functionality to allow end users to transfer or write off unbilled transactions more quickly. Added an Anticipated Disbursements tab in billing to allow users to post anticipated disbursements.  Disbursements entered […]

May 2017 ESILAW 360 Update

The following items have been added, updated or addressed in the latest ESILAW 360 update. Added Batch transfer / write off functionality to allow end users to transfer or write off unbilled transactions more quickly. Added an Anticipated Disbursements tab in billing to allow users to post anticipated disbursements.  Disbursements entered […]