Automate Finance. Accelerate Growth.
Close faster, stay compliant, and gain real-time visibility into cash flow and profitability with automated workflows and seamless integrations.
Maintain Perfect Books & Compliance
Automated reconciliation, intelligent journal management, and compliance monitoring that ensures accuracy and regulatory adherence.
Configuration
Set chart of accounts, taxes, journals, currencies, fiscal positions, fiscal year, tax groups, account tags, account groups, and payment terms.
Journals
Manage journal entries, items, taxes, and Sales/Purchase/Bank/Cash/Misc journals.
Dynamic Accounting Dashboard
Real-time overview of financial health and quick access to journals, invoices, and bills.
Intuitive Bank Reconciliation
Effortless matching of bank statements with accounting entries.
Document Retention Policies
Define retention periods and enforce archival of financial records and audit logs.
Payment Terms Enforcement
Apply and lock payment terms across invoices and bills with threshold rules.
Comprehensive Financial Reporting
Generate professional reports with real-time data and advanced filtering
Balance Sheet
Assets, liabilities & equity analysis
Profit and Loss
Revenue and expenses over a period
Cash Flow Statement
Operating, investing & financing flows
Executive Summary
High-level financial overview
General Ledger
Complete account-level entries
Partner Ledger
Customer/vendor receivable analysis
Aged Partner Balance
Outstanding receivables & payables by age
Trial Balance
Verify equality of total debits & credits
Customer Statements
Detailed, aging-based financial reports
Invoice Analysis Report
Comprehensive overview of invoices & sales status
Journal Report
Detailed journal entries report
Tax Report
Summary of tax liabilities & claims
Advanced Analytics & Budget Control
Multi-dimensional analytics, intelligent budgeting, and predictive insights for better financial decisions.
Analytic Accounting
Hierarchies of cost accounts structured by projects, contracts, departments, etc.
Analytic Distribution
JS widget on Invoices/Bills to create analytic distribution on the spot with templates.
Analytic Plans
Manage multiple analytic plans and sub-plans with applicability conditions.
Analytic Report
Clear reports on analytic accounts with hierarchy and subtotals.
Budget Management
Track and compare budgets for financial or analytic accounts.
Full Asset & Budget Control
Comprehensive control over assets and budgets.
Complete Asset Lifecycle Management
Track, manage, and optimize your assets from acquisition through disposal with automated depreciation and seamless integration.
Assets Management
Track assets and depreciation boards with automated amortization entries.
Full Asset Lifecycle Management
Complete management of company assets including depreciation schedules.
Asset Revaluation & Disposal
Handle revaluation, impairment, and disposal entries with full audit trail.
Frequently Asked Questions
Common questions about our Accounting & Finance solution.
Yes, our accounting module is setup to ensure compliance with local financial regulations.
Yes, you can import bank statements and use our intuitive reconciliation tool to match transactions automatically.
Yes. You can record transactions in multiple currencies and keep consistent financial reporting with proper exchange rate handling.
Yes. Use role-based permissions and approval flows to control who can post journals, validate payments, and access sensitive reports.
Absolutely. You can generate Balance Sheets, Profit & Loss statements, and Cash Flow reports in real-time with a single click.
Yes, the system allows you to track assets, manage depreciation schedules, and automatically generate amortization entries.
Yes. Configure tax rules and generate tax reports to support filing and audit readiness.
Yes. Integrations connect operational transactions to accounting entries so your books stay synchronized across departments.