How it helps
Less chasing. More control.
Built-in accounting, bank reconciliation and focused reports turn daily records into decisions a shop owner can act on.
- ✓Reconcile cash and bank statements
- ✓See revenue, expenses, receivables and payables
- ✓Review Profit & Loss, Balance Sheet and Trial Balance
- ✓Export clear PDF and Excel reports
A typical day
- 1
Record expenses and attach receipts
- 2
Match bank activity against the books
- 3
Check customer and supplier balances
- 4
Export the right report for the owner or accountant



