Check Reconciliation
Accounts Payable
Accounts Receivable
Payroll / Human
Resources
Time Clock
& Scheduling
MICR
Check Printing
Menu
Security System
Electronic
Fuel Distribution
Order Entry |
Strong cash control
Access to all accounting periods
Drill down account analysis
Multiple entities
MICR checks
Real time bank balances
Extensive on-screen auditing
High level security
Data base technology
Budget Analysis
Financial Report Generator
Powerful user defined journals
User friendly screens
Vendor & Customer ledgers
Daily audit of any account
Instant access to historical information |
Unlimited years of financial data
Create report "packets" for CEO 's
Total software integration
Define special "watch accounts"
Lock down journals, periods or accounts
Immediate notification of conflicts
Group Consolidation Reporting
No month end or year end closings
Reoccurring journals
Reoccurring invoices
Individual "todo" lists
Company Phone book
Allows overlapping
Strict audit checking during transaction entry.
Batch control totals during transaction entry.
Complete audit trails at month end.
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