A Powerful Financial Accounting Software that combines the functionality of Multi Company, Multi Currency, Receivables, Payable, General Ledger, Final Accounts, Cheque / PDC Management and Bank Reconciliation. Its capability of integrating to any platform or any industry Management software makes it a Robust Back Office solution. The sophisticated and user friendly transaction entry screens with proper transaction Approval mechanism, this module shows the impact of any financial posting in Real time.
Features
- Structured Accounts tree with real-time updated balances for each account
- Capabilities to hit multiple accounts in a single financial entry
- Ability to drill down into multiple dimensions of financial data – all the way to the transaction level
- Transaction vouchers like JV, Payment Vouchers, Contra, Petty Cash, etc
- Sales and Purchase Voucher entry
- Bill-wise Payment and Bill-wise Receipt facility
- Debit Note / Credit Note
- PDC Management
- Bank Reconciliation
- Cost Centre Definitions
- General Ledger with drill down to Transaction Level
- General Journal
- Trial balance
- Profit & Loss Statement
- Balance Sheet
- Various Built-in Standard Reports with ability to Customize further
- User Role Management
- MIS & Business Intelligent reporting exportable to PDF & Excel
- Multi Company / Multi Currency
- Capabilities to hit multiple accounts in a single financial entry