Finance & Payroll

  • Process employee payroll based on defined salary structures
  • Calculate salaries using basic salary, attendance allowance, and other components
  • Include attendance data in payroll calculations
  • Include commissions or incentives where applicable
  • Compute total payable salary for each employee
  • Handle payroll for selected date ranges (monthly or custom periods)
  • Generate salary slips for employees
  • Include detailed breakdown (basic salary, allowances, deductions, commissions)
  • Provide downloadable salary slips (PDF or printable format)
  • Maintain salary slip history for each employee
  • Share salary slips with employees if required
  • Track business income across branches
  • View income records by date range
  • Monitor revenue from services and product sales
  • Filter income by branch or period
  • Export income data for reporting or accounting purposes
  • Record business expenses
  • Categorize expenses (e.g., operational, utilities, salaries, etc.)
  • Track expense amount, payment method, and date
  • Add descriptions and reasons for each expense
  • Edit or delete expense records when needed
  • Maintain expense history for financial tracking
  • Create and manage expense categories/types
  • Standardize expense classification for reporting
  • Update or remove expense types
  • Use expense types across all expense entries
  • Record cheque-based payments
  • Store cheque details (number, payee, amount, issue date, payment date)
  • Track cheque status (pending, cleared, cancelled)
  • Link cheques to expenses or payments
  • Maintain cheque history for audit and reconciliation
  • View combined financial data (income vs expenses)
  • Track profitability trends across time periods
  • Monitor financial activity per branch
  • Support financial decision-making with structured data
  • Use attendance data in payroll calculations
  • Use commission data from services/orders in payroll
  • Link expenses and income with reporting modules
  • Ensure financial data aligns with orders, bookings, and refunds
  • Support end-to-end financial workflows within the system
  • Provide financial data for reports (income, expenses, payroll)
  • Support export/download for accounting purposes
  • Maintain historical financial records
  • Improve accuracy and transparency in financial operations
  • Manage all financial operations from a centralized module
  • Ensure accurate payroll and expense tracking
  • Reduce manual accounting work through structured workflows
  • Support scalability for multi-branch financial management