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The clearance days can be changed manually for each receipt or the form of fund defaults can be edited through tools Tools and settings Settings > settings Settings > appliance settings > trust accounting > manage list definitions > accounting form of funds > add recordĀ 

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Appliance Settings > Trust Accounting > Manage List Definitions > Accounting Forms of Funds > Add RecordĀ 

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Unallocated / Allocated / Bank Balance

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