Record details of payment lines and their countered account
Periodically automatically create accounting entries to transfer or allocate part or all of the balances of one or more accounts
Import bank statements in CSV and XLSX
The bridge module between Account Counterpart and Account Reconciliation
Counterpart relations between Journal Items
Account Reconciliation Widget and Functions for bank statement reconciliation and journal items reconciliation
Currency conversions with specific bank' Exchange Rates
Manage commercial partners' e-wallets
Import Bank Statement at RJE format
Allow adding a legal number for invoices
Manage your company loans
Intergrating MoMo Payment Acquirer with Viindoo software.
Online payment integration with NganLuong
Prevent accidental or intentional deletion of payment transactions
Enable seamless Paypal payments for unsupported currencies
Base module for Purchase customization
Different Accounts for Refunding income and expense
Add specific identification costing method to inventory valuation
Allow the allocation of costs to inventory for products configured with automatic inventory valuation and specific identification costing.
Allows the application of the Specific Identification Costing method for manufactured products, ensuring accurate valuation and effective traceability