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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.
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