Separate day book for chit/branch/head office or consolidated
Date wise summary of cash /bank book and ledgers
Easy identification of negative cash balance in cash book
Cash flow statement
Kuri, branch and head office trial balance, trading and profit loss account and balance sheet
All chit and balance sheet schedules
Provision for issue and receipt of post dated cheques
Easy identification of cheques that to be deposited on the date
Cheque control management
Cheque book register
Provision for cheque cancellation
Automatic accounting of returned cheques
Bank reconciliation
All reports can be saved to Word, Excel, PDF, HTML and text formats
Branch wise and consolidated account books includes day book, cash book, bank books, ledgers, general ledger, group ledgers, trail balance, profit and loss account, balance sheet, schedules.
General and security features
Automatic and manual data backup
Unlimited user creation
Roll wise user attribute
Data freezing/unfreezing
Palmtop integration
Multiple collection centers (Branches)
Online integration of branches and real time operation
Provision for bulk SMS & Email
SMS on day opens and closing with cash balance
Provision to send email directly from the software
Intimation through email and SMS
Provision to send personal ledger through Email
Provision to chat between two users within network (LAN/WAN)