While monitoring the complete collection process, our versatile software also provides numerous alternatives to our report structure.
Does tracking data at 30, 60 or 90 days meet your needs?
We’ll time our reports to match your requirements.
Three main management reports provide a total look at our efforts with your
accounts:
- Inventories list original balances, present balances and current status
for all accounts. - Batch Tracks calculate our liquidation rate for accounts batched
according to month placed. This report demonstrates our continuing efforts
over time to recover even your oldest accounts. - Remittance statements total the most recent month’s performance,
listing amount recovered, amount retained and amount remitted to you.