Organized chart of accounts
Use parent and child accounts in a structure that distinguishes accounts that accept postings.
Connected financial records ready for review
Organize the chart of accounts, record balanced journal entries, and follow operational effects through the ledger, trial balance, income statement, balance sheet, and cash flow.
Accounting records and financial operations
Verified product capabilities
Use parent and child accounts in a structure that distinguishes accounts that accept postings.
Create multi-line entries with debit-credit validation and attach supporting documents when needed.
Sales, purchases, payments, and other supported operations post entries through configured account mappings.
Review the general ledger, trial balance, income statement, balance sheet, cash flow, and equity statement.
Workflow
Choose the accounts used by operational and financial records.
Supported operations create entries, and users can add a balanced manual entry.
Move from an account report to journal lines and then to an available source document.
Practical value
Posted entries keep their source type and source document connection.
Nizma rejects unbalanced manual entries and posting to non-postable group accounts.
Core statements support periods and branch filters while remaining tied to journal entries.
Questions about this capability
Yes. A multi-line manual entry can be created when total debit equals total credit.
Reports include the trial balance, general ledger, income statement, balance sheet, cash flow, equity statement, and internal tax reports.
Entries produced by operations retain their source type and ID, with links to documents the user may view.
Core statements support period and branch filters according to the report type.
Create your account, set up your business data, and open the capabilities that fit your workflow.
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