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Client Documentation
Working with JSD
How to place accounts with JSD for collection, what information we need, how recovered funds are handled, and what happens after placement.
Sections
Each page below explains one part of placing and managing accounts with JSD, based on the procedures our team actually follows.
- Getting Started
How to place accounts, what information is needed, and what happens once an account arrives.
Required fieldsBulk placementsInternational accountsFirst 48 hours
- Payments and Remittances
How recovered funds are held, when remittances go out, and how the contingent fee is handled.
Trust accountClearing periodTuesday remittancesContingent fee
Existing clients can reach their account representative directly.
Considering placing with JSD? Contact our team