Case Master Pro
  • Home
  • Software Features
    • Case Management
    • Billing & Accounting
    • CMP Imaging
    • Administration
    • Security
    • Reporting
    • Document Management
    • Software Integration
  • Add-ons
    • Email Automation
    • Integrated Payments
    • Client Dashboard
    • Payment Dashboard
    • Outside Counsel Login
    • EDI Interfaces
    • Direct Check Module
    • Data Conversion
  • Resources
    • Help Documentation
    • Help Videos
    • Support
    • Debt Collection Blog
    • Software Enhancements
  • About Us
    • About Case Master Pro
    • Testimonials
    • Contact Us
  • Free Demo
Select Page

General Case Management

29
  • Abbreviations
  • Adding a Legal Status
  • Adding an Opponent / Debtor
  • Adding and Using Review Codes
  • Adding Hold Codes
  • Adding Multiple Images to an Activity Note
  • Adding New Activity Codes
  • Adding Payment Arrangements
  • Adding Wage and Bank Garnishments
  • Additional Opponent / Debtor Screens
  • Case File Basics
  • Counties, Clerks, and Court Locations
  • Creating a New Case File
  • Creating a New Client (Part 1 of 2)
  • Creating a New Client (Part 2 of 2)
  • Daily Dashboard
  • Editing Bad Phone Numbers and Addresses
  • Favorites Feature
  • File Status Codes
  • General Navigation Menus and Buttons
  • Image Sharing
  • Imaging (Paperless Office)
  • Importing New Files
  • Litigation Screens
  • Opponent Declares Bankruptcy Procedure
  • Opposing Attorneys
  • Status Bar
  • Understanding Settings Hierarchy
  • Workflows

Security

3
  • External Users
  • Resetting Passwords
  • Two-Factor Authentication

Add-Ons

2
  • Adding an Enhanced Email Signature
  • Microsoft Outlook Add-On

Document Management

10
  • Adding a Signature
  • Advanced Document Generation
  • Basic Document Generation
  • Batch Documents
  • Building Document Expressions
  • Creating Spreadsheet Templates
  • Document Fragments
  • Document Generation Selection Options
  • Document User Prompts (Ask Fields)
  • Merging PDF Templates

Accounting

13
  • Accounting Reports
  • Adding Wage and Bank Garnishments
  • Adjusting Commercial Rates and Suit Fees
  • Balance Calculation Basics
  • Contingency Rates and Buckets
  • Entering and Printing Checks
  • Entering Client Invoice Payments and Unpaying Bills
  • Generating a Client Remittance Report
  • How to Set Up Hourly Billing
  • Preparing and Finalizing Bills
  • Searching for Checks
  • Transactions Check Register
  • Void Checks

Preferences

3
  • Adding Top Buttons to Grids
  • Enabling Pop-Ups
  • Resetting Passwords

Administration

14
  • Abbreviations
  • Adding a Legal Status
  • Adding and Using Review Codes
  • Adding New Activity Codes
  • Assigning Attorney Bar Numbers
  • Automations
  • Batch Internal Status Updates
  • Company Settings: Company Tab
  • Image Restore
  • Reassigning Reviews, System Users, and Default Users
  • Resetting Passwords
  • Status Bar
  • Terminology
  • User Defined Fields

Tools

4
  • Adding a Legal Status
  • Custom Reporting
  • Importing Batch Images
  • Importing New Files

CMPOnline Support

1
  • SOS Support Line Access Instructions
View Categories

Generating a Client Remittance Report

This document details the procedure to prepare the remit statement to the client in CMPOnline.

Before you begin:

  • You need to be familiar with your client codes.
  • You must understand how the contingency rates affect the remit calculations.
  • It is assumed you have the knowledge of how legal accounting works and the terminology involved with it.

Running the Remit Reports

  • Go to Accounting > Remittance
    • From the Remit screen, select the clients you wish to remit on. Click “Select All” at the bottom of the client list to remit on all clients.
    • Remittance Options:
      • File Number: Enter the file number in the File Number field box if you are remitting on one file only.
      • Forecast Report as of: Enter a date to forecast a remit report for that date.  This will allow a forecast based on the number of days the system holds checks for.
      • Do NOT create Checks/Bills during Remit?: If running a final remit with this checked, a remit date will be placed on all payments an no check/bills will be created.
      • Remit All Payments Thru: This will override the system holds for checks and other payment types.
      • Final Remit?: DO NOT select this box until you have previewed the reports and verified all payments are ready to remit on.
    • Once you have made your selections, click “Run Remit”, and click “OK”.
      If the remit is large, you may exit this screen and work on
      something else, as the time per remit varies.
    • Scroll down and click “View Report”
    • A detailed report will be displayed in a new tab if there are any payments to remit. Otherwise, you will receive a “Nothing to Remit” message.
    • Once the report is verified and you are ready to post it, re-run the remit, but check the Final Remit box before you click “Run Remit”.
    • The Final Remit will add a request for the remit check, enter billing, and update transactions with remit dates, cost remitted, and fees calculated.

Printing Remittance Checks

  • Go to Accounting > Checks > Print Checks
    • Select the Bank Account from the dropdown list.
    • Enter the Check Date.
    • Enter the Check Number. (The next check number will auto populate in this field, change if needed) 
    • Click Select, to open a window of all pending check request.
      • Select which checks you wish to print.
        • Remit checks are coded as Type “RM” and Code “NM”
        • Attorney Fee checks are coded as Type “AF” and Code “CT”
      • Click “Ok”
    • Click “Print”
  • The checks will then open in two windows, one window with the checks and the other with the combined check report.
    • From here, you can print or download the checks as needed.
  • Verify the checks are correct one last time.
    • If they are correct, click “Yes” to finalize.
    • If they are not correct, click “No”.

Running a Client Remittance Video Highlight

Client Payments, Client Remittance, Trust Accounting
Share This Help Document:
  • Facebook
  • X
  • LinkedIn
Table of Contents
  • Running the Remit Reports
  • Printing Remittance Checks
  • Running a Client Remittance Video Highlight

CMPOnline by Case Master Pro
P.O. Box 252
Georgetown, FL 32139
phone: (386) 675-0177

Contact Us

  • Facebook
  • LinkedIn
  • YouTube
  • Twitter
  • RSS

Software Features

  • Case Management
  • Billing & Accounting
  • CMP Imaging
  • Administration
  • Reporting
  • Document Management
  • Software Integration

Add-on Features

  • Email Automation
  • Payment Processor Integration
  • Client Dashboard
  • Payment Dashboard
  • Outside Counsel Login
  • EDI Interfaces
  • Direct Check Module
  • Data Conversion

Discover the Features Every Law Firm Needs

  • About Our Legal Case Management Software Company
  • Case Management Software
  • Debt Collection Software with Custom Reporting
  • Legal Billing Software
  • Legal Software Administration
Copyright © 2005-2025 Case Master, Inc. All rights reserved.