CashManager STANDARD provides all the basic bookkeeping functions you need to enter transactions, reconcile your bank statement, prepare your sales tax and print various bookkeeping reports. It can also present your data to your accountant in a way they can use.
PLUS: It allows you to use budgets and produce management reports.
Users who want to:
Control their cash in and cash out
Reduce their accounting fees by doing the day to day processing of transactions themselves
Keep a finger on the pulse of their cashflow
Easily do their sales tax returns
PLUS:
Use an effective budgeting tool
Forecast their cashflow
Operate a trust facility
Keep track of customer and supplier invoices using a simple log
Manage their business more effectively
Features in detail
CashManager Standard includes:
Three companies
Wizard driven bank reconciliations
The ability to import downloaded bank statements
Multiple bank accounts (unlimited)
Standard chart of accounts templates with the ability to add, edit and delete
Easy search names and descriptions
Deposit slip and cheque printing
Electronic Funds Transfer (EFT) payments
Recurring transactions like loan & lease payments and bank fees
Ability to produce reports in financial or graphical format
The ability for accountants to integrate into their practice software if desired
The ability to upgrade to other versions as required
Along with:
An effective budgeting tool
Management and Cashflow reports
Invoice logs that allow you to track customer and supplier invoices
The ability to keep notes on customers and suppliers
Create To-do lists
Support:
12 Months' cover
Access via email or fax to our Support Desk
Access to the online Knowledge Base
Entitled to most up-to-date software releases
Regular tips & tricks called 'Did You Know's'
Pricing:
Standard System:
£250.00
Contact Us
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