General Ledger
- Journal Entries
- Trial Balance
- Opening & Closing Balance
- Account Grouping
- Custom Account Creation
Receivables & Payables
- Customer/Supplier Ledger
- Due Management
- Invoice & Payment Tracking
Banking
- Bank Statement Matching
- Cheque Management
Multi-Currency
- Real-time Conversion
- Foreign Currency Ledger
Budgeting
- Department-wise Budget
- Expense Heads
- Alert on Budget Exceed
Billing
- Automated Invoice Generation
- Recurring Billing
- Payment Terms
VAT & Tax
- VAT Calculation
- Tax Filing Reports
- NBR Format Support
Financial Statements
- Profit & Loss Statement
- Balance Sheet
- Cash Flow Statement
Audit & Security
- Access Logs
- Entry Modification History
- Role-Based Access
- Permission Control
Integration & Reporting
- POS Integration
- Inventory Sync
- Real-Time Dashboard
- Custom Financial Reports
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