A comprehensive financial management module that not only handles your daily accounting chores, but also eliminates the need for having a separate accounting software, and thus, pitfalls associated with multiple recordings of transaction.
- Supports Business Budgeting, Cash Flow and Fund Flow analysis
- Get accurate status on cash and bank balance using Bank Reconciliation Statement(BRS)
- Print account statements and Cheques from financial books such as ledger, journals etc. with Easy Print design tool
- Age-wise outstanding for customers and suppliers to help you to have better visibility
- Auto schedule your periodical book posting activities like rent entry
- Manage your receivables and payables, and efficiently track deposited, bounced and post-dated Cheques using Cheque management module
- Supports multiple currencies, as well as voucher entries such as journal, contra, receipt, payment etc.
- Flexible user interface for entering opening balance for suppliers and other ledger accounts