Managing Bank Accounts, transactions, reconciliations

Using Bank Accounts section of Accounting&Finance module, users are able to manage multiple bank accounts, transactions (spend/receive), bank reconciliations, track balances, money transfer, manage petty cash accounts and more. Lists of Bank Statements, Reconciliation Reports, Data Importing, and other functions are easily manageable and simple to use.

Screenshots:

Bank-Accounts

Add-Bank-Account

Reconciliation-Report