Automate Financial Ledgers
eliminate cash blind spots
Unify Closed Deal Contracts Directly With Real-Time Accounting, Working Capital Telemetry, And Automated Departmental Reconciliation.
Core Features Included In ERP
Four specialized operational workflows engineered to eradicate financial silos and maintain total visibility across departments.
Automated Ledger Reconciliation
Instantly cross-reference every incoming client payment from your payment gateway directly with signed CRM contracts and double-entry general ledgers without a single manual spreadsheet entry.
Real-Time Cash Flow Telemetry
Track dynamic burn rates, cash runway indicators, and liquidity health metrics instantly on a unified C-suite dashboard designed for immediate strategic decision-making.
Vendor Bill & Payout Automation
Schedule and execute supplier disbursements automatically based on milestone service deliveries, verified purchase orders, and clear accounts payable guidelines.
Multi-Currency & Tax Compliance
Seamlessly manage cross-border invoicing, automatic currency exchange adjustments, and regional tax compliance rules without administrative slowdowns.
Key Roles & Accountabilities
Core functional responsibilities defining structural performance and compliance benchmarks.
- Positive cash-flow management
- All statutory compliances in timely manner
- Monitoring the financial goals & proactive actions to achieve
- Fund arrangements & borrowing
- Annual budget sanctions & allotment to respected department
- Department profitability
- Positive functionality of Rewards & Recognition Scheme
- Design the company growth structure prior to annual appraisal & departmental growth planning
- To presentation for company MIS report to management
- IPO compliance & execution as per management instructions
Actual ERP Dashboard Visual
A comprehensive look at the live command center providing complete visibility over cash flow and ledger synchronization.
Strategic Impact On Companies Growth
Implementing automated ERP financial architecture transforms your back-office operations from a reactive cost center into a proactive catalyst for secure, rapid enterprise expansion.
Risk Free Expansion Bets
Scale sales volume with absolute confidence, backed by precise working capital forecasts.
Compressed Administrative Drag
Eliminate manual ledger entry hours and redirect financial teams toward high-value strategy.
Predicatable Valuation Readiness
Present audit-ready, spotless financial records to investors and stakeholders during funding rounds.
Ready To Automate Your Finance Department?
Partner with our revenue architects to align your pipeline acquisition with rigorous departmental financial control.