
The financial backbone is now complete. Record payments (made & received) with a shared allocations table, log expenses & refunds and transfers, manage banking — and read it all back in a full reports suite, every one exportable to Excel.
- Balance Sheet · Profit & Loss · Cash Flow · Trial Balance
- General Ledger · Contact Ledger · Account Transactions
- Customer & Vendor Balance Summaries
Every source document auto-posts to the ledger, so your reports are always live.

Payments with a shared allocations table