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.
Instant visibility across revenues, expenses, tax obligations, and bank reconciliations in Saudi Riyals (SAR).
Every business transaction automatically creates balanced double-entry journals, posts to the General Ledger, and reflects on financial statements.
Debit: Accounts Receivable (1200)
Credit: Property Revenue (4100) + Output VAT (2300)
Debit: Bank / Escrow Account (1100)
Credit: Accounts Receivable (1200) Settle
Debit: Commission Expense (5200)
Credit: Agent Commission Payable (2200)
Trial Balance & General Ledger update
Real-time P&L and Balance Sheet balance
Engineered from the ground up for Saudi accounting standards, VAT filing, multi-branch scaling, and regulatory compliance.
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.
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.
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.
Manage multiple bank accounts, petty cash, escrow accounts, and credit card registers. Import bank statements (CSV/OFX) and automate payment-to-invoice matchings.
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.
Approved agent sales commissions and HR payroll disbursements automatically generate balanced liability and expense postings with zero spreadsheet manual recalculations.
Deploy as an all-in-one real estate enterprise solution or as an independent standalone accounting software.
| 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 |
Speak with our financial software consultants to configure your Chart of Accounts, ZATCA Phase 2 e-invoicing, and accounting workflow.