What's included
Real-time ledgers
Sales, purchases and expenses post directly — no separate accounting entry step.
Bank reconciliation
Match bank statements against posted transactions without a spreadsheet in between.
VAT & ZATCA
FTA-compliant UAE VAT from Basic; Saudi ZATCA Fatoora e-invoicing from Professional.
The cost of accounting that's a separate system
| Symptom | Root cause |
|---|---|
| Month-end takes days, not hours | Operational data has to be re-entered into the books manually. |
| Stock value on the balance sheet doesn't match the warehouse | Inventory and accounting are two systems that were never actually connected. |
| Receivables report disagrees with the sales team's numbers | Invoices and the ledger are updated on different schedules. |
See real numbers, not a demo dataset
40-day free trial, no credit card. Post a sale and a purchase, then check the trial balance update without touching a separate accounting screen.
Start free trial