Accounting
Purchases, invoices, remittances, cash desk, refunds, and split payments.
Understand purchases, payments, and value date
Distinguish sale date, payment date, and value date to review accounting accurately.
Create and manage remittances
Group sales, generate the SEPA file, mark statuses, and control each remittance.
Review the daily cash desk
Control cash records, filters, event editing, and the relationship with split payments.
Manage accounting, invoices, remittances, and cash desk
Review purchases, invoices, remittances, cash desk, refunds, and split payments without mixing dates or statuses.
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