System Features and Description:
- Define Accounts, Control Accounts Subsidiaries and Cost Centers
- Entry and print facilities for Receipts, Disbursements, Bank Deposits, Journal Vouchers, etc.
- Transaction Listing, Ledger Report, Trial Balance, Cash Receipts Book, Disbursement Book, General Journal and other Register Reports
- Income Statement and supporting documents (other Statements)
- Balance Sheet and supporting documents (Schedules)
- Cash Position, Budget and Variance, and other reports.
- Dashboard for Accounting Summary and Budget and Variance
- Define Fixed-Assets (Properties) for the generation of depreciation report and posting of entries.
Integrated Savings and Loans Module:
- Member/Client Information Tables and Listing
- Entry and print facilities for Loan Vouchers, Savings and Payable Vouchers
- Integration with Official Receipts and Check Vouchers to update member subsidiary transactions.
- Statement of Accounts, Aging of Receivables/Payables, Loans and Savings Schedules and Ledgers, Payables Schedules and Ledgers.
- Print Member Ledger on Passbook using PR2 Printer
Other Features:
- Create special report templates and automatically build them through Microsoft Excel
- Audit Trail and Transaction Locking Facilities
- Multi-user (password-driven) security and network-ready