Features
- Define accounts, control accounts (account groups) and subsidiary accounts
- Define cost/profit centers
- Entry facilities for Journal Vouchers, Check Vouchers and Official Receipts and other user-defined
transaction sources
- Define Register Reports (Books) based on transaction sources
- Define Properties (Fixed-Assets)
- Data Maintenance facilities that allow users to back-up, restore data and ensure data integrity
- Access Security features that define authorization for users to allow usage of all or specific features of
the system.
- Network Ready (can be accessed by multiple authorized users over local network)
- View Menu (Dashboard)
- Accounting Summary
- Budget and Variance
- Data Entry Enhancements:
- Account Codes can be filtered by name for easy encoding
- Values are now comma separated
- Import entries from MS Excel (Official Receipts, Check Vouchers, Journal Vouchers, etc.)
- Improved Filter Options when editing/viewing transactions
- Reports Enhancements:
- Larger Amount Values
- Export to Excel, Word, PDF, HTML, RTF, CSV, etc.
- Microsoft Excel Reporting Enhancements:
- New Excel Functions to query GL Database using SQL SELECT commands
- Use Excel Report Templates to generate special reports (e.g. Bank Reconciliation, Cash Flow and other management reports)
- Updated Help Files and Users’ Guides
- New Feature: Outstanding Checks module for Check Voucher integration with Bank Reconciliation.
- Generation of BIR 2307 and DAT Files for Sales and Purchases
- Enhanced Access Security with more user-options (e.g. reprinting without editing access, etc.)
- Improvements in Data Handling and Back-Up/Restore Facilities – recognizes newer and bigger back-up drive storage devices (e.g. Newer USB Flash Disks).
- Can handle larger files (65Tb data) and larger memory (32Gb).
- Windows 10 and 11 compliant (Updated Installer CD).
Reports
- Cash Position Report
- Transaction Listing
- Ledger Report (Standard or Summarized by Register)
- Register Reports (e.g. Cash Receipts Books, Disbursement Book, General Journal and other Registers)
- Trial Balance
- Income Statement (by cost/profit center or all cost/profit centers), and other user-defined Statements
(e.g. Cost of Sales, etc.)
- Consolidated Income Statement (showing all main cost/profit centers in a columnar format)
- Balance Sheet and other supporting Schedules
- Budget and Variance Reports
- Schedule of Depreciation (Fixed-Assets)
- Schedule of Real-Estate Tax and Insurance (Fixed-Assets)
- Audit Trail Report
- Export Reports to PDF, MS Word, MS Excel, HTML, etc.
- Build custom reports using Microsoft Excel extracting data from GL Windows (e.g. Bank
Reconciliation, Cash Flow, Comparative Financial Statements, etc.)