General Ledger
Chart of accounts, journals, ledgers, posting, periods, opening/closing balances
Control Your Finances. Automate Accounting. Make Better Decisions.
Our Accounting & Finance Management System provides a centralized platform for managing the complete financial lifecycle—from general ledger and receivables to payables, banking, taxation, budgeting, cash flow, assets, reconciliation, and financial reporting. Designed for SMBs, enterprises, multi-company groups, retail, distribution, hospitality, manufacturing, construction, and professional services, the solution delivers real-time financial visibility, stronger controls, and automated accounting processes.
Business-led
Outcome alignment
12
Core capabilities
Long-term
Operational ownership
Core features
A connected capability set designed around business workflows, operational visibility, security, and long-term scale.
Chart of accounts, journals, ledgers, posting, periods, opening/closing balances
Customer invoices, receipts, ageing, credit limits, statements, collections
Supplier invoices, payments, aging, payment schedules, supplier statements
Bank accounts, cash accounts, transfers, deposits, withdrawals, cash books
Statement import, transaction matching, reconciliation, adjustments
Invoices, recurring invoices, taxes, discounts, multi-currency and templates
Incoming/outgoing payments, allocation, advances, partial payments
Customer/supplier adjustments, returns, corrections, and allocations
Annual budgets, departmental budgets, revisions, and budget vs. actual
Departments, branches, projects, business units, and profitability analysis
Acquisition, capitalization, depreciation, transfer, and disposal
P&L, balance sheet, cash flow, trial balance, and management reports
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Enterprise capability framework
Focused information organized for fast scanning and clear business understanding.
Understand revenue, expenses, cash, receivables, payables and profitability from centralized dashboards.
Generate accounting entries from sales, purchasing, inventory, payroll and other operational transactions.
Monitor collections, payments, cash balances and future obligations.
Standardize reconciliation, journals, approvals, and period-closing processes.
Apply permissions, approval limits, audit trails, and segregation of duties.
Analyze performance by company, branch, project, department, customer, and product.
Manage multiple entities while maintaining entity-level and consolidated reporting.
Give finance teams and management access to accurate financial KPIs and analytics.
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VertexWare product advisory
Discuss your priorities with a senior specialist and leave with a clear product, delivery, and implementation recommendation.