Localized Financial ERP

One Accounting Engine. Every Transaction.
Fully Connected.

An integrated financial engine built strictly for GCC compliance. Manage chart of accounts, multi-branch journal entries, 15% VAT filing, automated installment reconciliations, and ZATCA Phase 2 QR e-invoicing.

Real-Time Financial Position

Executive Financial Intelligence

Instant visibility across revenues, expenses, tax obligations, and bank reconciliations in Saudi Riyals (SAR).

Total Revenue

SAR 4,850,200

+18.4% vs last period
Total Expenses

SAR 1,240,800

Operations, payroll & commissions
Net VAT Position

SAR 541,410

ZATCA 15% Reconciled
Receivables Ageing

SAR 920,400

96.2% on-time collection
zatca-phase-2-dashboard
WingsClient Saudi ZATCA Phase 2 E-Invoicing & Submissions Clearance Dashboard
profit-and-loss-statement
WingsClient General Ledger Financial Profit and Loss Statement
Zero Manual Journals

The Automated Accounting Lifecycle

Every business transaction automatically creates balanced double-entry journals, posts to the General Ledger, and reflects on financial statements.

1. Posted Invoice

Debit: Accounts Receivable (1200)

Credit: Property Revenue (4100) + Output VAT (2300)

2. Payment Received

Debit: Bank / Escrow Account (1100)

Credit: Accounts Receivable (1200) Settle

3. Approved Commission

Debit: Commission Expense (5200)

Credit: Agent Commission Payable (2200)

4. Live Financial Statements

Trial Balance & General Ledger update

Real-time P&L and Balance Sheet balance

Pillar Features

Comprehensive Saudi Financial Architecture

Engineered from the ground up for Saudi accounting standards, VAT filing, multi-branch scaling, and regulatory compliance.

ZATCA Phase 2 & Saudi VAT (15%)

Full support for simplified B2C and standard B2B tax invoices, cryptographic XML signing, Phase 2 compliant QR codes, debit/credit note adjustments, and automated VAT return schedules.

Bilingual Chart of Accounts

Standardized 5-tier hierarchical Chart of Accounts (Assets, Liabilities, Equity, Revenue, Expenses) in Arabic & English. Fully customizable for real estate, holding companies, and service firms.

Real-Time Financial Statements

Instant generation of Trial Balance, Profit & Loss (P&L), Balance Sheet, General Ledger, and Cash Flow statements with period comparisons, filters, and drill-down into source journals.

Bank & Cash Reconciliation

Manage multiple bank accounts, petty cash, escrow accounts, and credit card registers. Import bank statements (CSV/OFX) and automate payment-to-invoice matchings.

Period Closing & Immutable Audit

Lock historical financial periods to prevent retroactive tampering. Automated year-end closing, profit/loss transfer, and complete user activity audit trails for regulatory peace of mind.

Automated Commission & Payroll Sync

Approved agent sales commissions and HR payroll disbursements automatically generate balanced liability and expense postings with zero spreadsheet manual recalculations.

Deployment Models

CRM + Accounting vs. Standalone Product

Deploy as an all-in-one real estate enterprise solution or as an independent standalone accounting software.

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Financial & Operational Capability CRM + Accounting Suite Standalone Accounting Solution
Lead Pipelines & Property Unit Availability
Customer & Vendor Master Management
Invoices, Receipts & Payment Tracking
Automated Double-Entry Journal Engine
Saudi VAT 15% & ZATCA Phase 2 E-Invoicing
Trial Balance, Balance Sheet, P&L Statements
Sales Commission Hierarchy Engine Optional Add-on
HR Geofenced Attendance & WPS Payroll Optional Module
REST APIs, Webhooks & Zapier Sync
Financial Consultation

Request Saudi Accounting Solution Demo

Speak with our financial software consultants to configure your Chart of Accounts, ZATCA Phase 2 e-invoicing, and accounting workflow.

Transform Real Estate Operations

Ready to Supercharge Your Property Enterprise?

Experience automated lead timelines, unit booking grids, ZATCA e-invoicing, and enterprise HR payroll.