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Each month, JDi Data receives between 400 and 500 insurance carrier checks that must be sorted to the appropriate case file. Then applied to the correct carrier, deposited into one of 600 trust accounts, and attached to the case file database.Due to each carrier having their own unique check format, the task is daunting for any size organization. Deploying this solution has enabled staff to streamline the process by reducing manual data entry and potential errors.