home Products 1c_accountingsuite Bank & Cash Accounting

Bank & Cash Accounting

  • Manage receipt and payment, cash balance and bank statements, control money balance at the end of the month
  • Update the payment authorization form of banks timely
  • Automatically evaluate the exchange rate difference at the end of the period in accordance with the regulations of the Ministry of Finance

Sales & Purchase Accounting

Previous Module

Assets, Tools, Pre-Payment

Next Module

Contact us