Lately, we have been spending a lot of time refining the Job Assignment Control Sheet. We are trying to put everything related to this job together so that it is going to be a One Stop view of everything that goes on in that job. In addition, we are implementing a new function called Trust Payable, as a unique way to take money out from Trust Deposit accounts, thanks to Belinda of Cheung, Tong and Rosa, Solicitors. Also, we have finally completed the Balance Sheet and Income Statement function. We finally understand that users are more comfortable with the pre-defined statements rather than the catch-all Trial Balance report.