One login, many clients
Switch between businesses from the top of the app. Each set of books is fully isolated.
For accountants
Give your clients a workspace they'll actually keep up to date, and give yourself the ledger, journals and audit trail you need at year-end.
Switch between businesses from the top of the app. Each set of books is fully isolated.
Every sale, bill, payment and adjustment posts balanced lines. No orphan transactions to chase.
Post multi-line journal entries with narration for accruals, depreciation and year-end corrections.
Give the owner full access, staff editing rights and reviewers read-only — enforced in the database.
Who changed which document and when, so year-end questions have answers.
Trial balance, ledger and reports export to CSV for your own working papers.
Journal entry · INV-0142
| Account | Debit | Credit |
|---|---|---|
| Bank | 11,300 | |
| Sales income | 10,000 | |
| VAT payable (13%) | 1,300 | |
| Balanced | 11,300 | 11,300 |
Your month-end, in four moves
Record
Reconcile
Report
File
Start with a ready-made chart of accounts, invite your accountant, and close your year without the scramble.