Nominal Ledger
  Integrating with commercial modules provides a seamless flow of financial data
  The financial suite comprises Nominal Ledger, Purchase Ledger, Sales Ledger, Asset Register and Cash Book. An extremely comprehensive suite, it caters for multi-company, multi-currency and group consolidation user defined. It provides sophisticated coding structures with full audit trails.

Complete flexibility of setting period end dates for accounting periods is provided allowing for 12 or 13 month accounting transactions to be viewed at summary or detail levels in normal or inverted formats. The report generator allows the user to create personalised financial and management reports, reflecting the company’s own accounting structure.

Features User structured account code
          Up to 15 characters & 8 user defined fields
“Point-to” accounts for consolidation
Modular control of period closings
Posting to multiple periods
Detailed audit trail
          By transaction number
          By source with narratives

Recurring journal entries
Journal accruals with automatic reversing
Budget-to actual comparisons
          Period-to-date or year-to-date
          Variance by £ and percentage

Foreign currency bank accounts
Flexible nominal ledger report generator
Benefits Rapid implementation with flexible account code structure
Accountability through detailed audit trails
Real-time monitoring of budgetary performance
User-defined financial statements
Direct integration with third party products for financial modeling