FINANCIAL MANAGEMENT
Connect the money to the booking that created it.
Bring invoicing, payments, credit notes, statements and financial reporting closer to the operational source instead of rebuilding figures manually.
Ledger Link™August
RECEIVABLES$84,260Across 19 active files
INV-1042Horizon Travel$8,240
INV-1045Bluebird Tours$4,780
INV-1051Nomad Partners$12,310
INV-1054Atlas Travel$6,990
Cleaner billing
Better visibility
Less reconciliation
01
Keep billing close to the booking
When commercial and operational records feed finance, teams spend less time interpreting what happened and more time managing the numbers.
- 01Invoices & payments
- 02Credit notes
- 03Client statements
- 04Bank statements
Ledger Link™August
RECEIVABLES$84,260Across 19 active files
INV-1042Horizon Travel$8,240
INV-1045Bluebird Tours$4,780
INV-1051Nomad Partners$12,310
INV-1054Atlas Travel$6,990
02
Management accounts without rebuilding the story
Use structured financial outputs for trial balance, profit and loss, balance sheet and tax-oriented reporting.
- 01Trial balance
- 02Profit & loss
- 03Balance sheet
- 04Tax reports
1Trial balance
2Profit & loss
3Balance sheet
4Tax reports
