Full set of accounts to Balance Sheet Automatic updating of accounts on posting
Setup of GL codes as required Allows for differing accounting styles
Stock inventory updated by value automatically Accuracy of S.O.H. value at any time
Reporting done by date range Information can be quickly and easily retreived
Budget comparison on each account Easy analysis of performance
Common Journal entries templated Speed up journal entry
Journal Enquiry Easy search for journal entry
Unposted transaction report Tracks items that don't balance
Bank statement reconciliation Time saving in reconciling statements