Core accounting suite
GL, journals, trial balance, audit trail, VAT, and period locking.
Products
Move from capture to reconciliation to reporting without hopping between generic admin screens.
What’s inside
GL, journals, trial balance, audit trail, VAT, and period locking.
Invoices, customers, payment capture, and collection visibility.
Bills, suppliers, expenses, and supplier payment workflows.
Transaction capture, cashbooks, reconciliation queues, and connected banks.
P&L, balance sheet, cash flow, VAT reporting, and operational dashboards.
Setup guides, settings, connected apps, and finance defaults in one place.
Invoices, bills, expenses, and bank transactions enter the system in structured flows.
VAT settings, account structures, approvals, and reconciliations keep the books trustworthy.
Statements, summaries, and audit trails stay ready for owners, accountants, and SARS.