Financial Accounting
Our Financial Accounting module provides comprehensive tools for managing the financial aspects of the hospital.
Key Features:
- Chart of Accounts Management: Efficiently manage the hospital's chart of accounts.
- Transaction Verification & Posting: Verify and post daily transactions for each center.
- Voucher Entry: Support for journal, contra, single, and double voucher entries.
- Receipts & Payments**: Handle receipts and payments via cheque, telegraphic transfer (TT), and cash.
- Bank Reconciliation: Streamline bank reconciliation processes.
- Incentive Calculation: Calculate incentives for doctors, referral hospitals, and other stakeholders.
- Financial Statements: Generate profit and loss statements, cash flow statements, and trial balance reports.
- Balance Sheet Report: Produce balance sheet reports compliant with IFRS standards.
- Asset Management: Manage hospital assets efficiently.
- Cost Center Management: Manage finances on a cost center basis for detailed financial tracking.