Replevin Case Management.
Go Beyond the Repo.
A single platform to manage replevin filings, asset recovery, and post-judgment workflow across all 50 states, coordinating in-house teams, outside counsel, process servers, and recovery vendors with full audit trails on every filing, fee, and asset disposition.
Engineered for Replevin Complexity
Replevin workflows are anything but uniform, every state's procedural code is different, every asset class has its own recovery dynamics, and every vendor performance profile matters to the cost of recovery.
Jurisdiction-Specific Workflow Engine
Pre-built replevin workflows for every state's procedural code, notice requirements, hearing windows, writ issuance, peaceful-vs-judicial recovery rules, post-judgment timelines, and right-of-redemption periods. Cases follow the right path automatically based on jurisdiction, asset class, and creditor strategy.
- 50-state replevin workflow templates
- Notice & hearing timeline automation
- Writ and order tracking
- Right-of-redemption monitoring
Counsel, Servers & Vendor Coordination
Centralize coordination of outside counsel, process servers, repossession agents, storage facilities, and auction vendors. Placement, status tracking, fee management, and performance scorecards on every vendor in your recovery network, without spreadsheets, email chains, or vendor portals.
- Vendor placement & routing
- Process-server coordination
- Fee & invoice management
- Vendor performance scorecards
Asset Recovery & Disposition Tracking
Track every asset from initial filing through final disposition, repossession, storage, refurbishment, redemption, auction, sale, or write-off. Full chain-of-custody documentation and cost-of-recovery analytics for every asset class and every vendor in the network.
- Chain-of-custody documentation
- Storage & auction coordination
- Redemption tracking
- Cost-of-recovery analytics
From Filing to Recovery
A jurisdiction-aware workflow that moves replevin inventory from filing through final disposition without the spreadsheets.
Inventory Routing
Eligible accounts identified, routed to internal teams or external counsel based on jurisdiction, asset class, and recovery strategy.
Filing & Notice
State-specific filings issued, notice periods tracked, hearing windows monitored. Pre-judgment writs requested where available.
Recovery & Disposition
Process servers, repossession agents, and storage facilities coordinated. Assets recovered, stored, and disposed per state rules and creditor policy.
Performance Analysis
Cost-of-recovery, time-to-recovery, and vendor performance tracked by jurisdiction and asset class. Insights feed forward into next placement cycle.
Replevin Operations, End to End
From inventory placement to final disposition, see how a single platform manages replevin across all 50 states.
The replevin specialist's workspace.
Every replevin specialist starts here, a personalized view of their assigned inventory by state, asset class, and hearing-date proximity. Filing status, notice windows, writ issuance, and next-action surfaced for every case in one screen.
Routed by jurisdiction. Sequenced by deadline.
Inventory routed automatically to internal teams or outside counsel based on state, asset class, and recovery strategy. Pending hearings and notice-window cutoffs jump the queue; high-volume jurisdictions cluster for batch filing.
Every filing, every fee, every disposition.
Replevin filings, writs, court orders, chain-of-custody documentation, storage agreements, and auction records retained under policy. Distributable via SFTP to outside counsel, API to upstream creditors, or direct GUI pull for examiner review.
Cost of recovery, by jurisdiction.
Cost-of-recovery, time-to-recovery, and vendor performance analytics by state and asset class, feeding directly into the next placement cycle and quarterly recovery reviews.
Other Case Types
All case types live in the same workflow engine. See how NeuAnalytics handles every category your operation works.
