Tencia Cashbook |
Efficient cash management is fundamental in today’s ever changing business environment. The Tencia cashbook maintains an up to date running balance of your cash position so you are fully informed about your organisations liquidity at any point in time and able to forecast future cash flow based on accurate data. Keeping you informed and in control.
Cashbook features include:
Multiple bank accounts which can be maintained in both local and foreign currencies.
Automatic notifications when bank accounts move into credit.
Quick and simple bank reconciliations with minimum data entry.
Full integration with the debtors and creditors functions and links to payroll so that payments are automatically reflected in your bank account balances including transfers between bank accounts.
Easy processing of cancelled cheques and dishonoured receipts.
Simple to use income and expense codes are available, for flexible data entry and reporting.
Ability to permanently store bank, branch and drawer details against debtor, at time of receipt entry.
Cashbook reports:
Bank account listing
Bank account Ledger
Income transaction report
Expense transaction report
Automatic transactions report
Cashflow report
Bank reconciliation
Bank deposit listing
Computerised cheque printing
Cheque register
Printing receipts
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