Review and post with control
Process supported statements, classify transactions, approve records, post balanced journals, and preserve immutable reversals.
Create a firm-scoped workspace for transaction review, balanced posting, financial reporting, tax computation, document control, subledgers, and year-end operations.
Your route
Business and Accounting Firms
Process supported statements, classify transactions, approve records, post balanced journals, and preserve immutable reversals.
Use General Ledger, Trial Balance, Profit and Loss, Balance Sheet, Cash Flow, report versions, and exact control totals.
Work with tax computations, VAT, WHT, documents, fixed assets, liabilities, receivables, payables, inventory, period close, and roll-forward.
Existing capabilities
Process supported statements, classify transactions, approve records, post balanced journals, and preserve immutable reversals.
Use General Ledger, Trial Balance, Profit and Loss, Balance Sheet, Cash Flow, report versions, and exact control totals.
Work with tax computations, VAT, WHT, documents, fixed assets, liabilities, receivables, payables, inventory, period close, and roll-forward.
New business users can create a firm account. Existing users can log in or open the authenticated dashboard.