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Accounting

Accounting

Automate your financial workflow with ERP+ Accounting. From GL and bank reconciliation to real-time dashboards, stay audit-ready and manage cash flow with ease.

Accounting

Key Features

Real-time business dashboards and statistics.
The accounting module is following the IFRS standards and applying for the Egyptian roles as well.
All tax reports are totally and self-running directly from the system.
All accounting modules in one place journal entries, account payable, account receivable, banks and treasury management, petty cash management, budgeting, and the whole financial reports.
Chart of accounts with unlimited levels of creation and Bulk upload.
Settings for the auto ledgers and journals created for the whole accounting transactions.
Multi-currency management design your own Income statement and Balance sheet reports.
Unlimited no. of Banks and Safe Box management.
Auto payroll journal creation with real-time integration with the payroll.
Transportation allowances management and source and destination cost management requests.
Depreciation methods management to be calculated automatically.
Fiscal periods and years management for early periods transaction locks.
Multi-company and multi balance sheet management.
Journals and general ledger complete management.
Cost accounting, cost center, and cost allocation management.
Unlimited customer declaration and bulk upload.
Multi customers’ opening balances with different dates with the Bulk upload option.
Account receivables invoices, submit them to GL, and add their receipts.
Define suppliers and Bulk upload their data. Add All suppliers’ opening balances or Bulk upload them.
Account payable invoices, submit them to GL, and add your payments. AR and AP settlements by bank transfer, cash, directly to the chart of account, from downpayment permissions.
Receipt permissions for safe boxes and make their settlements.
Complete cheques management in and out with its IFRS standard workflow with auto ledger generation for each transaction.
Payable permissions of safe boxes and make their settlements.
Petty cash management with relation to the staff members comes from HR for each employee.
Automatic foreign currency calculation and reconciliation with the same journal in the settlement of the payment and allocate it to each transaction cost center as foreign differences.
Create Petty cash records for each employee and make their adjustments.
Create “LCs” letters of guarantee and Follow up their workflow.
Create your own budget and forecast for the expected expenses and income for a year.
Dashboards for the planned Vs the actual create your own cost centers or projects if your business is an order or project-based cost allocation and track expected vs. actual real-time for each cost center.
Transfer accounting balance for fiscal periods and years (no need to open a new database).
Payment gateway integration for customer payments through Visa, Mastercard, or Fawry.
Customers’ online payment through email links or through the customer portal.
The self-explanatory system in 10 steps your module it up and running.
Financial reports:
Journal Entry Report
Cost Center Balance
Projects Status
Projects Expenses
Accounting Statement
Account statement (Foreign Currency)
Total Accounting Statement for Cost center
Treasury and Bank Account Statement
Trial Balance
Customer Accounting Statement
Supplier Accounting Statement
Customers Balance
Suppliers Balance
Income Statement
Balance Sheet
Safes And Banks
Transaction Report
Cost Labor for Cost Centers
Aging Report
Purchase Invoices and Addition Notes
Sales Invoices and Delivery Notes
Egypt Tax 41
Department Cost
Balance Statement of current budget expenses
Egypt Form 75 for government
Bank Reconciliation

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