Solutions  /  Accounting

Your finances, crystal clear

Automate the financial tasks that eat your week — manage transactions, track cash flow, reconcile banks, and generate SST-compliant reports. Real-time visibility into every ringgit.

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Auto bank reconciliation SST & tax ready BBS billing integrated
99% Report accuracy
50% Less bookkeeping time
RM 2.4M Transactions processed
Financial Overview AUG 2026
+RM 48K
Net Profit
RM 186K
Revenue
RM 138K
Expenses
AprMayJunJulAug
Revenue Expenses
Invoice paid · RM 12,500
SST filing ready · SST-02
Invoice #INV-2048 paid · RM 8,200 · Kuala Lumpur Expense logged · Utilities · RM 450 Bank reconciliation complete · Maybank Invoice #INV-2049 paid · RM 3,100 · Penang Payment made · Supplier A · RM 5,600 Journal entry posted · General Ledger Invoice #INV-2050 paid · RM 15,800 · Johor Bahru Expense logged · Payroll · RM 24,000 Invoice #INV-2048 paid · RM 8,200 · Kuala Lumpur Expense logged · Utilities · RM 450 Bank reconciliation complete · Maybank Invoice #INV-2049 paid · RM 3,100 · Penang Payment made · Supplier A · RM 5,600 Journal entry posted · General Ledger Invoice #INV-2050 paid · RM 15,800 · Johor Bahru Expense logged · Payroll · RM 24,000
Built for every business
SMEs & Startups Retail & FMCG Wholesale & Distribution Services & Agencies F&B & Cafes Professional Services

Financial dashboard & reporting

From basic bookkeeping to comprehensive financial analysis — manage transactions, automate reporting and see exactly where your business stands. Profit & loss, balance sheet and cash flow, all in real time.

  • Real-time P&L & balance sheet
  • Cash flow forecasting
  • Custom financial reports
  • Export to Excel & PDF
Profit & Loss YTD
RM 312K
Gross Profit
RM 1.24M
Total Revenue
RM 928K
COGS & Expenses
Q1Q2Q3Q4
Revenue Expenses

BBS billing integration

Integrates directly with BBS billing software, so sales, invoices and accounts stay in sync without manual re-entry. Every invoice automatically posts to the right ledger account — no double data entry, no errors.

  • Auto-sync invoices & payments
  • Automatic ledger posting
  • Accounts receivable tracking
  • Eliminate double data entry
BBS Billing
INV-2048Paid
INV-2049Pending
INV-2050Paid
AUTO SYNC
Accounting GL
Dr · Accounts RecvRM 8,200
Cr · SalesRM 8,200
Posted ✓Auto

Cost centers & budgeting

Manage your company's budget by department or cost center, track journal entries, and generate daily sales reports at the close of every day. Stay on budget and know exactly where every ringgit goes.

  • Department & cost center tracking
  • Budget vs actual comparison
  • Journal entry management
  • Daily sales closing reports
Budget vs Actual AUG 2026
MarketingRM 4,200 / 5,000
OperationsRM 9,850 / 10,000
LogisticsRM 3,800 / 3,000
PayrollRM 22,000 / 24,000
Total spent RM 39,850

SST & compliance reporting

Generate SST forms for the Malaysian government, reconcile against your bank statements, and produce a balance sheet whenever you need one. Stay compliant with automated tax calculations and filing-ready reports.

  • SST-02 & SST filing ready
  • Automated bank reconciliation
  • Balance sheet & trial balance
  • Audit trail & transaction log
SST-02 Return READY TO FILE
Taxable sales (Standard)RM 186,400
Taxable sales (Reduced)RM 12,800
Total sales valueRM 199,200
SST @ 8% (Standard)RM 14,912
SST @ 10% (Reduced)RM 1,280
Total SST payableRM 16,192
Bank reconciliation complete · Maybank & CIMB
99%
Report accuracy
50%
Less bookkeeping time
RM 2.4M
Transactions processed
100%
SST compliant
Everything built in

A complete accounting toolkit

From general ledger to tax filing — every feature your finance team needs to work efficiently and stay compliant, no expensive add-ons required.

General ledger

Complete double-entry bookkeeping with chart of accounts, journal entries and automatic posting.

Accounts receivable & payable

Track who owes you and who you owe. Automated reminders, aging reports and payment tracking.

Bank reconciliation

Auto-match transactions against bank statements. Reconcile in minutes, not hours.

Budgeting & forecasting

Set budgets by department, track actual vs budget and forecast cash flow with confidence.

SST & tax reporting

Automated SST calculations, SST-02 forms and filing-ready reports for Malaysian compliance.

Financial statements

Profit & loss, balance sheet, cash flow and trial balance — generate anytime, export anywhere.

Get started in days

From setup to stress-free accounting

A straightforward onboarding process designed for business owners — we handle the setup so your finance team can work efficiently from day one.

1

Connect & automate

We set up your chart of accounts, connect BBS billing and bank feeds, and import existing data. Transactions flow in automatically — no manual entry.

2

Track & reconcile

Monitor cash flow, track receivables and payables, and reconcile bank statements with one click. Budget vs actual reports keep spending in check.

3

Report & comply

Generate financial statements, SST returns and management reports instantly. Stay audit-ready with a complete transaction trail and compliance-ready filing.

Ready for clearer books?

Talk to our team about setting up your accounting system.

Free demo · No obligation · Setup in as little as 3 days

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