Accounting and Finance Software
The accounting system tracks budget and actual financial data in order to produce financial statements
such as income statements / Balance sheet.
- Fixed assets registry
- Double entry
- Payment Handling
- Journal Entry
- Chart of accounts
- Bank Reconciliation
- Total Debtors
- Supplier wise payments
- Customer Categorization & Due payments
- Customer Loyalty System
- The trial balance report
- General Ledger report
- GL Report Total Screen
- GL History Screen and the bank book
- Balance Sheet
- Profit & Loss Account
- Cash Flow Statement
- The Accounts payable system tracks vendor invoices and payments.
- The system allows reconciliation of cheques returned from the bank and tracking of void
cheques. Data is passed to GL system automatically via Journal vouchers with expense. - The Accounts receivable system tracks customer invoices and payments. Invoices are not purged
when fully paid. - Sales taxes are calculated automatically and are very flexible to facilitate VAT, GST etc.
- Note : Further customization and required reports can done according to the customer
requirements.