Module
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Specifications
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Books of Accounts
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Journal Voucher Register Sales Journal Register or Cash/Checks Receipt Books Purchase Journal Register or Check Disbursement Book General Ledger (Additional Books can be added by the user. Separate Books for the branches can also be setup)
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Journal Entries
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Journal Voucher (JV) Payable Voucher(PV) Check Voucher (CV) Cash/Check Receipts Book (OR/CR) Sales Journal (Invoice)
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Account Listings and Subsidiary Ledgers
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SL - Accounts Receivables SL - Accounts Payables Income and Expenses Accounts Account listings for all accounts
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Controls and Other Entries
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Closing of Accounting books Year-end closing of Nominal Accounts Automatic Journal Entries Auto-generation of Document Number Accounting for Collections Accounting for Disbursement Bank reconciliation Request for funding Check Printing
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Financial and Management Reports
FS for each branch
Consolidated FS for group of companies
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Statement of Financial Position Statement of Comprehensive Income Statement of Cash Flows Statement of Changes In Equity Financial Ratios Checks Monitoring Report for PDCs, Released, Unreleased, Cleared and Uncleared Checks General and Administrative Expenses Create your own report templates using Excel, Word, PDF, Crystal Reports and SQL Reporting Services
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Project Cost System (Separate system)
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Project Estimate Master File Cost Estimate vs. Actual Cost Cost Estimate vs. Amount Requested Request For Payment
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BIR Module (Integrated with GL Entries)
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CAS Books of Accounts Loose-leaf Books of Accounts Monthly Debits and Credits eBIRForms: 2550M, 2550Q, 1601C, 1601E 2307, 1702Q SLSP,Alphalist, SAWT & MAP Relief DAT File Generation List of Regular Suppliers eSubmission
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