The software is written specially for the business that provide / sale services to their clients. It also helps managing finance related requirements of trading companies. Users have to input their basic daily finance transaction in software and can enjoy a lot of automated reports from different criteria. Accounts Ledger, Cash / Bank Book, Trial Balances, Profit & Loss & Balance Sheet repots help users to understand position of their business.
Inputs: Accounts Types, Accounts Master File, Receipt Voucher, Payment Voucher, Journal Voucher
Outputs: Accounts List, Receipt Vouchers Report, Payment Vouchers Report, Journal Voucher Report, Voucher Printout, Journal Voucher Printout, Vouchers Tally, Cash Book, Accounts Ledger, Accounts Receivable / Payable, Trial Balance (2 Column), Trial Balance (6 Column), Profit & Loss, Balance Sheet