accounting
Accounting and Bookipingtools built into your CRM

Accounting Bookeeping

Enable a powerful accounting and bookeepingsuite inside JourneyCX, deployed securely when your subscription requires it. Compliant for your country offering full compliancy.

Features and Benefits

Record transactions such as purchases, sales, and receipts of an organisation. Rich reporting such as profit and loss statements, cash flow reports, sales tax, etc.

Record your financial information and be ready to submit your tax returns fully compliant to the authorities.

Benefits
jcx bookeeping

Bookkeeping

An integrated accounting module avoids the duplication of data within different systems.

compliance

Compliance

Ensure accuracy and compliance with the requirements as determined by the government.

bank reconciliation

Reconciliation

Financial transactions are imported and categorised. Approve automated categorisation or make changes when needed.

business decisions

Confident Business Decisions

Make decisions based on actual, real-time data. Understand the cost of running your business. Find out if you have money to hire, and confidently forecast your earnings.

financial statements

Statements

On-demand reporting; create your earnings report, cash flow or balance sheet statements. Filter zoom, annotate and compare any data.

accounts payable

Accounts Payable

Accounts payable makes it easy to track every bill payment you make and owe to vendors. Run reports such as profit and loss and cash flow statement to know exactly where you stand when submitting tax returns.

Key Features
dashboard

Dashboard

Profit & Loss Chart, Income Chart, Expense Chart, Cashflow Chart and oBank Accounts Overview

banking

Banking

Bank Accounts Management, Banking Feeds: Download Transactions, Import Transactions, Add/Edit/Delete Transactions, Match/Ignore Transactions, Verify Account

financial transactions

Transactions Management

Mapping transactions to accounting: bank statement, invoices and expenses. With additional and optional modules mapping for purchases, inventory, payroll, manufacturing, assets, sales order returns and sales refunds to accounting..

transaction grouping

Banking Automation Rules

Set-up transaction categories and automatically categorise transactions when statements are imported..

journal entry

Journals

Record transactions in the general ledger

account transfers

Account Transfers

Transfers money between accounts.

chart of accounts

Chart of Accounts

List account numbers and names relevant to your company. Enter and report on all sub accounts per categories i.e. asset accounts, liability accounts, Income accounts and expense accounts).

banking transactions

Bank Reconciliation

Matching transactions enteredagainst your bank or credit card statements.

Bus efficeincy 1

Budgets

Preparing budgets, which help you monitor, track, and compare expected income and expenses with actual income and expenses. When you prepare a budget, you typically prepare it for a fiscal year, and you can chose to supply budget amounts or use historical amounts

Standard and Custom Reporting

An extensive portfolio of standard reports included. A partial list of standard reports are listed below.
Custom report builder allows for flexibility to create reports accordong to the requirements of the business.

f reports

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