- Fast, simple, online setup
- Role based account masters setup; custom account codes, upload existing codes, etc.
- Workflow for accounting and journaling
- Accounting for multiple businesses at once.
- Organization/ Division / Branch accounting.
- Consolidated and detailed accounting statements.
- Cost center wise financial statements.
- Real-time balance sheets, profit and loss accounts and trail balance.
- Real time ledger and allow clients to view their accounts at their convenience from web/mobile.
- Journals.
- Manual and automatic journals.
- Attach releted vouchers/bills/documents into the journals.
- All major bank transaction interface file uploads.
- Recurring journals.
- Bulk journals creation and posting based on business logics.
- Excel uploads/downloads of vouchers/journals.
- Configure notifications (email/SMS/mobile push notifications) to clients upon post the journals
- Bank Reconciliation System.
- Passbook upload options with most of the leading banks.
- Automatic and manual reconciling accounts.
- Bank reconciliation statements.
- Post-dated cheque management system.
- Cheque receipts and tracking.
- Cheque deposit/bank Pay-in slips.
- Reconciliation with passbook (automatic and manual) reconciliation.
- Clients can view their cheque progress online (web/mobile).
- Notification to clients when deposit cheque for bank collection.
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