PCLaw Canada
PCLaw Canada Support Center Feedback
Harmonized Sales Tax (HST)
- HST Frequently Asked Questions (FAQs)
- HST change for Ontario and British Columbia
- Downloading Default Billing Templates for HST
- Updating Customized Templates for HST
- Configuring Harmonized Sales Tax (HST)
Quebec Sales Tax (QST)
Goods and Service Tax (GST)
- The Disbursement GST/HST Amount Is One Cent Too Great
- Changing the GST/HST Code on a GST/HST Remittance Check (Cheque)
- Entering a GST/HST Refund
- Entries That Appear on the GST/HST Journal
- Finding the GST/HST Amount to Remit
- Viewing a Remittance Check (Cheque) on the GST/HST Journal
- The GST/HST Journal - Overview
- Remitting GST/HST
- Correcting a GST/HST Imbalance When the Difference Begins on the Day After Your PCLaw® Start Date or Prior and There Are No Closed Months
- The Period Totals and Running Balance on the GST/HST Journal Do Not Reconcile
- Setting the Default GST/HST Category for New Matters
- Setting a Default GST/HST Category for an Explanation Code
- GST/HST Input Tax Credit (ITC) Categories and Codes
- GST/HST Categories (Codes) Overview
- GST/HST Billing Categories and Codes
- Enabling GST/HST for Your Firm
- Charging Sales Tax Before Adding GST/HST
- Charging Sales Tax After Adding GST/HST
- Changing Matter GST/HST Rates
- Changing the Default GST/HST Category for a Single Matter
- Changing the Default GST/HST Category for Multiple Matters
- Changing the Default GST/HST Rate for New Matters Only
- Changing the GST/HST Category When You Create a New Matter
- Changing the GST/HST Rate for a Single Matter
- Changing the GST/HST Rate for All Matters
- Changing the GST/HST Rate for Multiple Matters
- Changing the GST/HST Rate When You Create a New Matter
- Viewing a Provisional Write Off on the GST/HST Journal
- Cannot Reconcile the GST/HST Journal to the GST/HST Payable (2400) Account
Provincial Sales Tax (PST)
Trust Administration Fee (TAF)
- Enabling the TAF Feature in System Settings
- Trust Administration Fees in British Columbia Overview
- Reconciling the Trust Administration Fee Eligibility
- Trust Administration Fee Summary
- Trust Administration Fee Eligibility
- Reports That Reconcile to the Trust Administration Fee Detail
- Reports That Reconcile to the Trust Administration Fee Summary
- Trust Administration Fee Detail
- Removing a Trust Administration Fee (TAF) Entry
- Entering a Trust Administration Fee (TAF)
- Finding Matters that Are Eligible for a Trust Administration Fee
- Preparing Explanation Codes for TAF
- Accounting Entries that Post When You Enter and Remit TAF Entries - British Columbia
- Remitting TAF to the Law Society of British Columbia
- Law Society of Alberta Audit Report
Transaction Levy
- Transaction Levy Summary
- Transaction Levy Detail
- Transaction Levy Volume (Volume Surcharge Summary)
- Newfoundland and Labrador Transaction Levy Detail
- Newfoundland and Labrador Transaction Levy Summary
- Reconciling the Transaction Levy Volume
- Reports That Reconcile to the Newfoundland and Labrador Transaction Levy Detail
- Reports That Reconcile to the Newfoundland and Labrador Transaction Levy Summary
- Reports That Reconcile to the Transaction Levy Detail
- Entering a Transaction Levy for Newfoundland and Labrador Firms
- Entering a Transaction Levy for Ontario Firms
- Modifying a Transaction Levy in Newfoundland and Labrador
- Modifying a Transaction Levy in Ontario
- Accounting Entries that Post When You Enter and Remit Transaction Levies - Ontario
- Transaction Levy for Firms in Ontario Overview
- Transaction Levy for Firms in Newfoundland and Labrador Overview
- Remitting Transaction Levies for Firms in Ontario