The functionality is grouped into the following views:
- Bank - Displays and summarises transactions on the general bank account(s) and provides access to banking activities, such as transaction aggregation.
- Accounts - Lists all accounts and their current balances, allowing accounts to be created/managed. Each account can be opened, displaying the account transaction viewer. Also provides budgeting features.
- GST - Displays an on-going breakdown of items subject to GST and those which are not, as well as making the distinction between capital and non-capital purchases. This allows a review of transactions to be conducted prior to preparing a BAS.
- Trial balance - Shows the MTD and YTD balances on all accounts.
- Balance sheet - Shows the balances on asset, liability and equity accounts, allowing comparison to budget and previous financial year figures.
- Profit and loss - Shows a detailed breakdown of the balances on income and expense accounts with a given period, as well as the YTD figures. Allows comparison to the budget and previous financial years.
- Reconciliation - Lists the reconciliations that have been performed on the bank account(s), and is the starting point for a new reconciliation.
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