
Complete Financial System for Accurate Transaction Management
- Journal Entries Management
- Ledger Account Tracking
- Balance Sheet Overview
- Profit & Loss Statement
- Trial Balance Report
- Accurate Financial Reporting
- Automated Debit & Credit Entry
- Data Integrity & Accuracy
Journal Entries Management
Create accurate journal entries to log financial transactions in the system. Efficiently manage all journal entries by recording every transaction with accurate debit and credit classifications. Each entry is categorized, ensuring streamlined bookkeeping.
- Manage journal entries by adding, editing, and deleting them
- Automatic debit and credit recording, ensure data integrity and balance
- Ensures proper financial documentation for quick and easy logging


Ledger Account Tracking
All financial transactions are stored in ledger accounts, providing a detailed breakdown of individual accounts. This helps in monitoring assets, liabilities, and equity effectively. It simplifies accounting by providing a clear overview of account balances.
- Tracks financial transactions with specific account
- Enhances financial transparency and simplifies research
- Categorized ledger accounts in one place
Balance Sheet Overview
Generate detailed balance sheets to get a snapshot of your company's financial health at any given time. The system automatically calculates assets, liabilities, and equity to maintain balance, giving you a detailed view of your financial standing at any point in time.
- Auto-generated balance sheets and easy-to-read financial summaries
- Real-time financial insights and health overview
- Ensures equation balance: assets = liabilities + equity


Profit & Loss Statement
The Profit and Loss statement tracks the revenue and expenses over a specific period, offering detailed insights into your company's performance. The system calculates total income, subtracts operating expenses, and gives you a clear picture of your financial results.
- Detailed income and expenses tracking and generates reports
- Identify net profit or loss and automatic calculation
- Helps in business planning and clear financial performance overview
Trial Balance Report
Ensure your accounting data is accurate with the Trial Balance feature. It checks that total debits equal total credits, providing a critical tool to verify the integrity of your financial records. This helps prevent errors and maintain precise data across all accounts.
- Ensures financial accuracy and prevents errors
- Automatic balancing check with debits and credits
- Assists in financial audits and track account balances

Screenshots from our system
To explore the functionality and usage of these Add-Ons, refer to the accompanying screenshots for step-by-step instructions on how to maximize their features.
Discover More Add-Ons
Unlock even more functionality with additional Add-Ons, providing enhanced networking and customization options for your Dash SaaS experience.
Super.. All function are good.
Developer is always there to support ans answer any questions. Highly recommend!
Great Code and constant updates help a lot. this product is well supported.
Excellent app! Great support!
Excellent customer service, highly recommend!
Fantastic code and beautiful design
I really like the feature
the Team deserve 5 Star for following reason;
1- Customer Support
2- Feature Availability
3- Design Quality
4- Documentation Quality