Establish your branches and monitor them easily through this accounting tool that enables the daily transformation of data and an automatic accounts reconciliation between cost center and management.
- Automatic shipment’s data import and export between management and a profit center.
- The ability of direct purchase of assignment goods by a profit center from vendors, where purchases are considered received shipment from management at sales price. Purchases invoices with suppliers are then automatically generated in the management file upon data withdrawing.
- Full control over sales prices, discounts and allowances, and debts in the profit center.
- Powerful process that insures data consolidation both at the profit center and the management.
- Goods & payments on road are easily handled and adjusted between profit center and management.
- Full control of foreign currencies, Accounts payables, taxes transactions between profit center and management.
- The ability to search for materials in other profit centers from a profit center.
- Wide range of online reports and controlling tools in the management file.
- The ability to import the working day data manually via text file if the connection is lost between management and a profit center.