Every invoice, payment, and journal entry feeds directly into your books, no manual re-entry, no reconciliation headaches at month end.
Everything below runs on the same system as the rest of the platform, no separate module to license or maintain.
A configurable chart of accounts with real-time general ledger postings on every transaction, so your books are never behind.
Balance sheet, profit and loss, and cash flow statements generate on demand, filterable by cost center, project, or dimension.
Import bank statements and match them against ledger entries automatically, with exceptions surfaced for quick review.
Run consolidated accounts across multiple companies and currencies, with automatic exchange gain/loss handling.
Cost centers, budgeting against actuals, tax templates per jurisdiction, and payment entries that reconcile against invoices automatically. Your finance team gets the depth they need without living in spreadsheets.
Set up your organization and start running accounting on one platform.
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