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Chart of Accounts

  • Design and organize your account hierarchy—assets, liabilities, equity, income, and expenses—for accurate bookkeeping.

Profit & Loss

  • Generate P&L reports to analyze revenues, costs, and operating income over any period by department or product line.

Balance Sheet

  • Produce balance sheets showing assets, liabilities, and equity at a specific date for financial position reviews.

Cash Flow

  • Prepare cash flow statements (operating, investing, financing) to monitor actual cash movements.

Trial Balance

  • Run trial balances to verify that debit and credit totals match before closing the books.

Dimensional Reports

  • Slice financial data by company, cost center, project, or product line for multi-dimensional insights.

Inter-Company TXNs

  • Record and reconcile transactions between CGIC entities—loans, allocations, and inter-company invoices.

Multi-Currency

  • Manage transactions, revaluations, and reporting across multiple currencies with real-time exchange rates.

Payment Scheduling

  • Plan and execute payments—batch vendor disbursements, recurring commitments, and approval workflows.

Accounts Receivable

  • Track customer invoices, record receipts, manage aging, and automate dunning for overdue accounts.

Accounts Payable

  • Enter supplier bills, schedule payments, and reconcile vendor balances to maintain good supplier relations.

PO Integration

  • Link purchase orders to invoices and receipts, ensuring liabilities reflect actual goods or services received.

Bank Management

  • Configure bank accounts, reconcile statements, and manage transfers and deposits seamlessly.

General Ledger

  • Post journal entries, create recurring entries, and drill down from GL accounts to source transactions.

VAT & Sales Tax

  • Define tax rules, automatically calculate VAT or sales tax on sales and purchases, and generate tax returns.

Withholding Tax

  • Apply withholding tax on supplier payments with configurable rates and generate exemption certificates or reports.

Transaction Audit Trail

  • Every financial transaction logs user, timestamp, and changes—ensuring full traceability.

User Activity Log

  • Track system access and module usage by user for compliance and security monitoring.