Manage your cashflow using powerful metrics from accounts receivable and accounts payable. Efficiently control cash, accounts and banking. Access a complete range of both financial and business reports by department and for multiple currencies


View past and projected receivables and payables to proactively manage your cashflow. Schedule multiple payments and track cash receipts


Planning your finances for the year ahead is made easy with up to three budgets for each period. Compare scenarios against each other to refine plans for maximum profitability

Chart Of Accounts

Flexible chart of accounts supporting multiple divisions, departments and activity codes. Easy to use journals, standing journals and auto-reversing journals

Audit History

Complete audit trail and history of every transaction. Know who did what on which date. Drill down capability takes you directly to the source


Auto generate ABA payment files from payment runs. Download your bank transactions into the easy to use bank reconciliation


Comprehensive management of GST on all sales and purchases and easy access to information for completion of BAS (Aust) or GST Return (NZ)


Gauge the performance of your business with a snapshot of sales history, sales in progress, outstanding purchases, planned and due payments and receivables


Use a comprehensive range of reports to manage all parts of your business. From standard financial reporting to detailed reporting on customers, sales, stock, suppliers, purchasing, assets and cash movements