P&L and balance sheet
Any period, any depth, with comparison to prior periods and planned budget.
Accounting
P&L, balance sheet, trial balance, general ledger, aged receivables/payables, customer statements, cash flow, VAT return, COGS, menu engineering, variance analysis, shift deposits, and acquirer settlements — every report live, one click away.
Any period, any depth, with comparison to prior periods and planned budget.
Trial balance in seconds; every account ledger with full transaction detail.
A ZATCA-ready return that ties to your e-invoices. Details on the ZATCA page.
Each menu item analyzed across three axes: revenue, margin, and velocity.
Compare actuals to budget, prior period, or another branch — with one click.
Tie every shift deposit to the bank; track card-acquirer settlements precisely.
Core statements
Every entry feeds the statements live. Pull the P&L for a month, quarter, year, or custom range. Compare against budget or the same period last year. Drill from any line into the ledger, then into the source document, in two clicks.
Receivables & customers
Aged receivables classifies open invoices by bucket (0–30, 31–60, 61–90, 90+) per customer. The customer statement prints every line of activity. All of it ties back to the customer directory and your sales invoices.
Operational reports
Menu engineering shows which item is a "star" (high margin + high velocity), which is a "workhorse", which is a "puzzle", which is a "dog". COGS for any period. Shift deposits tie each cashier drawer to the bank statement. Acquirer settlements reconcile what you collected on cards versus what actually landed.
Quotes, sales and purchase invoices compliant with ZATCA.
Expenses, supplier bills, and approved staff claims.
Ready chart of accounts, customizable, with cost centers.
Import the bank statement and match in a click with smart rules.
Monthly budgets tracked against actual performance.
Just one intro call. No spam, ever.
Answers about financial statements and reports.
P&L, balance sheet, trial balance, general ledger, aged receivables and payables, customer statements, VAT return, plus detailed branch and shift reports.
Yes. It exports in the format required by ZATCA — no manual collation.
Yes. It classifies items into stars, plowhorses, puzzles, and dogs — so you know what to promote, what to re-price, and what to drop.
Yes. It reconciles card payments at the till against what actually landed from the acquirer, surfacing any fees or gaps.
Yes. Schedule any report to land in the inbox of the people you choose — daily, weekly, or monthly.