Hi, I have full working financial accounting software.
For detail message me.
Balance sheet
2 Profit & Loss
3 Trail Balance
4 Cash / Funds flow
5 Job works Reports
6 Receipt and Payments
7 Inventory Report
8 Day Book
9 Ledgers
Menu level security
Set up security by menu, so we have control over who can view which information on a
detailed level.
Audit trail Step‐by‐step verification of transactions and activity within the accounting system.
level A hierarchy among the users
permission The ability of the users to view the contents or make changes to the contents of the system
role User’s designation
Direct Income Sales income ‐ like LOLO, Storage, MNR, Container sales , Container Parts Sales ..etc.
Direct Exp
Indirect Exp All kinds of exp. We have to creates heads accordingly as per nature of exp
inventory All items (asset/license/person) that exists in the Office
Asset
Buildings (Portable cabin etc.) Equipment (Forklifts. etc ) Computer ( computer , Printer , etc.),
furniture (table, chair, etc.), and software
Asset management
Track cost and market value of assets. Maintain loan values and use amortization
schedules to plan cash flow requirements. Maintain and process depreciation
transactions.
Job tracking Track income and expenses by Job, profit center, department, or other criteria.
Job costing Track phases and costs associated with jobs.
Budgeting and
forecasting
Set up and maintain budgets and forecasts. (Some systems provide a mechanism