Streamline your operations
Be in control with our financial accounting software.
Be in control with our financial accounting software.
In today’s international and competitive business world, the need for timely and accurate financial information is strong, yet many businesses still deal with a number of financial data sources, different software systems and partly still departmental spreadsheets causing inconsistencies and unnecessary delays in receiving information.
This is surprising as visibility into your company’s financial status and performance is crucial to driving effective business decisions.
Multi-company, multi-currency, multi-lingual
Accounts receivable, credit and collections management
Accounts payable, electronic funds transfer, automated order matching
Expense ledger links with Time & Expenses and other expense claims
General ledger, allocations, consolidations and eliminations
Cash book and cash management, bank reconciliation and statement interfaces
Data Analytics enabling the user to query any data held by the systems
Financial consolidation for enterprise-wide visibility and compliance
Compare actual, forecast and budgeted figures in real-time
Financial reporting functionality with standardized or custom-built dashboards
Real-time financial information
Enhanced consistency of results and compliance
Customisable invoicing, statements and remittance advices.
One-stop-shop In financial management for companies in any sector and of any size
Quick access to key financial information e.g. balance sheets: managers can react faster
Enables you to assess the impact of ‘what if’ scenarios before executing strategic decision
Streamlines the financial management of multiple business entities with different reporting tools
Frees time for your finance team: they can focus on more strategic tasks, boosts departmental efficiency
Scenario-based and collaborative financial modelling, allowing for decisions based on real-time financial data.
Dynamic planning on a monthly, quarterly and annual basis
Create ‘What-if’-Scenarios to see the cash flow and liquidity impacts
Pre-defined reporting facilities for P&L, Balance Sheet and Cash Flow statements can be individually adjusted
Complete Excel integration, consolidating actual and planning figures in one data model with automated data transfers.
Treasurers/Finance Directors can drill down into the actual cash flow drivers and use transaction levels. The App allows for easy detection of the key sources of cash flow inflows and outflows, any current or upcoming cash flow shortfalls and periods of surplus
Comprehensive yet transparent and easy to use
One secured and reliable database
In-built software flexibility, customisable
All your financial data integrates into one single product with no other ancillary Apps or software required
Built-in financial logic allowing collaboration, communication and decision planning
Dynamic P&L, Balance Sheet and Cash Flow statements based on accurate, real-time and complete financial data
Resulting forecasts based on the financial professionals well-chosen, company or departmental combination of cash flow drivers & assumptions
Enhances strategic planning & performance management. Supports in detecting financial issues ahead of time
Enables Treasurers and Finance Directors to crunch numbers faster and produce ad hoc financial results