CSV or OFX import
Drop your bank file in; it parses and queues for matching in seconds.
Accounting
Import your bank statement (CSV or OFX) and the system suggests intelligent matches for every line. What remains can be matched manually or turned into a new entry — with bank rules that learn and auto-match recurring items.
Drop your bank file in; it parses and queues for matching in seconds.
The system shortlists the best candidates per bank line by amount, date, and reference.
A bank line matched to a customer invoice or supplier bill is logged as a linked payment.
Set a rule once (monthly rent, recurring subscription) and the system auto-matches it every month.
Bank line unclear? Leave a note, a teammate replies, and the thread stays attached to that line forever.
Each cashier has an independent cash code so daily deposits stay separate and traceable.
The reconciliation flow
You import the statement; the system shows each line with three options: auto-match, manual match against a candidate, or create a new entry on the fly. You move through lines fast, and at the end the bank balance ties perfectly to your book balance.
Bank rules
Every bank line containing "STC" of a fixed amount is a subscription bill on the telecoms account? Save the rule. Next month the system matches it without you touching anything — saving hours of repetitive work.
Cash & multiple tills
When several cashiers work the same branch, each opens their shift under a separate cash code. The shift take is recorded under that cashier; when you deposit, it ties cleanly without mixing staff.
Quotes, sales and purchase invoices compliant with ZATCA.
Expenses, supplier bills, and approved staff claims.
Ready chart of accounts, customizable, with cost centers.
Monthly budgets tracked against actual performance.
Balance sheet, income, cash flow, and VAT return.
Just one intro call. No spam, ever.
Answers about bank reconciliation.
Import your statement as CSV or OFX directly from your bank — the system detects the columns automatically.
Yes. Clear transactions match automatically, and ambiguous ones are surfaced for manual review with smart suggestions.
Rules that tell the system: "if you see this description, code it to this account." Set them once and matching runs automatically every time.
Via per-till cash codes, so each shift's flows stay separate and surface clearly in reconciliation.
Yes. Each line carries an internal discussion thread, so the accountant and till operator can comment without mixing up notes.