How to disburse a settlement payment to a client form a Trust Account.
Go to the Matter
On the specific matter details page, click the "Trust Transactions" tab
Click "Add New Transaction"
Enter Description
Enter Transacted At date
Enter Amount
Select Type: Withdraw
Select Payment Method (check, wire, etc.)
Enter Reference Number (check number)
Select Vendor (this should be the client's name they are sending the settlement to)
Click "Attach From Computer" to upload files for your trust transaction
Click "Save"
Entering that transaction in Practice Pro will create a vendor payable for the client in QBO, where the user can issue a check to the client.
