The Accounting Toolkit was designed to provide developers with all of the standard accounting tools with the least amount of overhead possible.
Create a simple chart of accounts for organizing transactions in a meaningful way to make managing the organization easier.
Create a bank reconciliation to verify all transactions have been accounted for and recorded correctly and the cash balance matches the bank account balance.
Request a trial balance to make sure the debits and credits match to leverage the full power of dual entry accounting.
Request a general ledger to see the transactions recorded to accounts over a period of time.
Access all the financial reporting you need including Income Statements, Balance Sheets, Statements of Cash Flow, and Budget Variance reports.
Create companies and departments to segregate data into usable groups to manage the performance of a specific company or department.
Contact Us to access a free developer account & tutorial to explore The Accounting Toolkit's API.