Operations Est. 2012 (Domain 2015)
+880 1869-000004

Financial Accounting

Instant profit & loss ledgers, voucher posting, multi-currency accounting, bank reconciliation, and real-time audit control.

Visual Module Previews

System Screenshots & Module Overview

Explore the internal modules and functional capabilities of Financial Accounting

POS Retail Billing Terminal Live Active

POS Retail Billing Terminal

High-speed barcode scanner POS interface for quick retail checkout and receipts.

Verified Module
Customer Receivables & Dues Live Active

Customer Receivables & Dues

Customer ledger tracking with automated SMS and WhatsApp payment reminder alerts.

Verified Module
Daily Income & Expense Ledger Live Active

Daily Income & Expense Ledger

Cash drawer reconciliation, daily petty cash logging, and expense category breakdown.

Verified Module
Profit & Loss Financial Statement Live Active

Profit & Loss Financial Statement

Instant daily, weekly, monthly, and yearly profitability reports with 1-click export.

Verified Module
Vendor Purchase & Supplier Ledger Live Active

Vendor Purchase & Supplier Ledger

Purchase order tracking, vendor dues scheduling, and stock inward vouchers.

Verified Module
Multi-Store Inventory Sync Live Active

Multi-Store Inventory Sync

Centralized stock control across multiple retail shops with inter-store transfers.

Verified Module

Comprehensive Features & Capabilities (A to Z Spec)

Enterprise Edition
Hishab Kitab Accounting Suite is an intuitive, cloud-first financial bookkeeping system designed for small and medium-sized enterprises (SME). 1. OVERVIEW & CORE FUNCTIONALITY - Simplified Income & Expense ledger management with automated Cash In/Cash Out tracking. - Point of Sale (POS) billing interface optimized for barcode scanners and thermal printers. - Real-time customer and vendor ledger balances with instant statement downloads. 2. RECEIVABLES & PAYABLES AUTOMATION - Automated overdue payment reminder alerts sent via SMS and WhatsApp. - Vendor purchase order management and supplier payment scheduling. - Daily cash drawer reconciliation and petty cash expense tracking. 3. FINANCIAL REPORTING & STATEMENTS - Instant Profit & Loss (P&L) statements available per day, week, month, or custom date range. - Balance Sheet and Trial Balance generation with one-click PDF export. - Tax calculation summaries for hassle-free annual filing. 4. BRANCH & CASHIER MANAGEMENT - Multi-user support with isolated permissions for store managers and cashiers. - Multi-store inventory tracking with inter-store stock transfers. - Sales commission tracking for retail employees. 5. ACCESSIBILITY & SECURITY - Responsive cloud web interface accessible from desktop PCs, laptops, tablets, and mobile phones. - Daily automated cloud backups to prevent data loss. - High-speed BDIX NVMe server hosting with 99.9% uptime guarantee. 6. TARGET BUSINESSES - Retail Stores, Electronics Shops, Pharmacies, Hardware Stores, Fashion Boutiques, Supermarkets, and Service Providers.

Live Product Portal Access

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Visit https://dev.tallybookapp.com

Onboarding & Technical Support

Our technical engineering team will assist with multi-tenant configuration and data onboarding within 24 hours.

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