See it in action
Everything your finance team needs
Accounts Payable
Vendor management, cheque printing, and AP aging reports.
Accounts Receivable
Customer management, invoicing, and progress billing.
Cash & Bank Reconciliation
Bank reconciliation, cash flow analysis, and fund transfers.
Financial Reporting
P&L statements, balance sheets, and trial balance reports.
Budgeting & Dashboards
Management dashboards with multi-branch and multi-currency support.
Audit Trails & Access Control
User-level access controls with a complete history of every change.
Reconcile every account without leaving the ledger
Match statement lines against vouchers and journal entries, spot discrepancies instantly, and keep every branch's cash position accurate and up to date.
- Automatic statement matching
- Contra, payment & receipt vouchers
- Multi-branch, multi-bank support
- Real-time balance-as-per-bank vs. book
Close your books with confidence
See IntaAcc handle a full month-end close in a free demo.
Book Your Free Demo