All documentation

Accounting

Financial reports & accounts

8 sections · 45 screens

Dashboard

1 screen in the Accounting menu

Accounting

4 screens in the Accounting menu

Banking

6 screens in the Accounting menu

Expenses

7 screens in the Accounting menu

Loans

2 screens in the Accounting menu

Investments

2 screens in the Accounting menu

Trackers

2 screens in the Accounting menu

Financial Reports

21 screens in the Accounting menu

Expenses

The expenses screen opened on its Summary tab, which groups spending by category rather than listing individual expenses, with totals for value, paid and pending.

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Party Ledger

The account of a single customer or vendor over a chosen period, showing opening balance, total debits and credits and the closing balance, ready to print, download or email.

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General Ledger

The transaction history of a single ledger account over a date range, with its type, code, period and line count, exportable as PDF or CSV.

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Trial Balance

Every ledger account balance as at a date you choose, with total debits and total credits shown side by side so you can confirm the two agree.

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Profit & Loss

An income statement for a period you choose, setting revenue against expenses to arrive at net profit, with an optional location or tracking breakdown.

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Balance Sheet

A statement of financial position as at a single date, setting out assets against liabilities and equity, with a warning when the two sides do not agree.

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Daily Sales

Sales broken down day by day over a chosen period, with total sales, transaction count, average per day, the best day, and the revenue accounts contributing most.

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Daily Profit

Revenue against expenses day by day over a chosen period, giving net profit or loss, profit margin, an average day, and the best and worst days in the range.

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Daybook

The book of original entries for a chosen period, with entry and voucher type counts, total debits and credits, and the closing cash and bank balances at the period end.

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Cash Book

Cash in hand over a chosen period: opening balance, receipts in, payments out, closing balance, and every movement with its running balance.

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Bank Book

Bank movements for a chosen period, either summarised across every account or as a single account ledger with opening, deposits, withdrawals, closing and a running balance.

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TDS on Sales

Income tax TDS deducted by your customers when settling your invoices, totalled for a period and broken down by customer, by section and by individual receipt.

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Cash Flow In/Out

Cash in and cash out day by day over a chosen period, with the net movement and the number of transactions behind each day.

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Cash Flow Statement

A statement of cash flows for a chosen period using the indirect method, starting from net income and reconciling it to the movement in cash across operating, investing and financing activities.

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Budget vs Actual

The budgets you have set, each with its period, status and the number of accounts it covers, opening on a comparison of budgeted against actual figures.

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Saved Reports

Report configurations saved from elsewhere in the system, each with its type, date range and whether it is shared with colleagues.

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Report Schedules

Saved reports set to be emailed automatically, with the frequency, file format, number of recipients, next send time and whether the schedule is running or paused.

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Forex Gain/Loss

Realised exchange rate gains and losses over a chosen period, with the totals and the journal entry line behind each one.

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Currency Revaluation

Restate open foreign currency balances at current rates, with the open foreign currency invoices listed and a history of revaluations already run.

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1099 Contractor Tracking

Vendor payments totalled for a year against a reporting threshold, showing which vendors have exceeded it and which remain below.

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Accountant Portal

A read-only financial overview for the company: monthly revenue, expenses and net income, outstanding invoices, draft entries awaiting review and the most recent postings.

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Watch Accounting in action

Related modules

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