Accounting

Accounting

BOTSEDGE MODULE

Accounting

Banking-grade accounting with multi-currency ledgers, double-entry posting, and a full audit trail.

General Ledger Accounts Receivable +42,500 Accounts Payable -18,200 Bank & Cash +96,140

Books that close themselves

Every transaction, payment, and report lives in one accurate ledger.

Ledger & Postings

Multi-Currency Ledger
Manage transactions and reporting across multiple currencies.
Double-Entry Posting
Every transaction follows proper double-entry accounting principles.

Payments & Reconciliation

NEFT, RTGS & UPI Payments
Initiate and reconcile payments without leaving the system.
Bank Reconciliation
Match transactions against bank statements automatically.

Reporting & Compliance

Financial Reporting
Generate P&L, balance sheet, and cash flow reports on demand.
Full Audit Trail
Every entry is logged and traceable back to its source.

Frequently Asked Questions

Does Accounting support multiple currencies?

Yes, the general ledger supports multi-currency transactions and reporting.

Can I initiate bank payments directly?

Yes, NEFT, RTGS, and UPI payments are supported natively within the module.

Is there a full audit trail?

Yes, every transaction is logged and traceable, supporting compliance and audit needs.

Ready to get started with Accounting?

Talk to our team to see Accounting in action.