Journal
Create Journal Entries to manage all transactions of your business
Post Ledger
Transfer and confirm all the journal entries and other transactions to post Ledger. Which will then reflect in your company reports
Contra
Use contra entries to manage transactions between cash Accounts and Bank Accounts
Bank Reconciliation
Reconcile your books of accounts with the balance in the bank account
Expert Advice and Support
We have over 21 years of experience in the retail management software industry with 1000's of customers over the years on our on-premise solution. Our support team will be available 24/7