What it does
Accounts & cash, step by step
1
Cash in every drawer
Each shop's drawer, the workshop's cash and the cash with the owner, each counted separately.
2
Bank accounts
Bank balances and transfers, with statements read in and matched for you.
3
Card settlements
Card sales batched per bank and matched to what actually landed, bank charges included.
4
Profit & loss
Month-wise and year-wise, ready whenever you ask for it.
5
Full financial statements
Trial balance, statement of financial position and cash flow, from real double-entry books.
6
Payroll
Salaries and piece-rate pay recorded in the same books.
Month-end without the notebooks
Sales, payments and cash movements are already in the books when the month closes.