Home | Sales Ledger | Purchase Ledger | Stock Control | Nominal Ledger | Invoicing/SOP | Purchase Order Processing | Reporter | Multi-Currency | Cashbook | Payroll | Personnel | EC VAT | Costing | BACS | Import
|
|
Managing your cash
Effective cash management is critical to the financial well-being of any company. Pegasus Opera 2 Cashbook has integration with your Sales, Purchase and Sales Order Processing modules to facilitate good cash management.
Flexible reconciliation
Receipts, payments and refunds can be posted from the Cashbook to the Sales and Purchase Ledgers with an automatic reconciliation facility to ensure accuracy. Bank reconciliation is carried out on-screen with all the relevant data available to you. The reconciliation can be saved partly completed to meet the varied demands of your working day. Additional data, such as bank and interest charges, can be input at the point of reconciliation for greater flexibility. All reconciled transactions can then be kept for up to 99 periods.
Quotation by Systel Ltd |
Systel Ltd site |
Download brochure |
Request brochure |
More info
Pegasus
Opera 2 Training | Pegasus
Opera 2 Support | Pegasus
Opera 2 Development
Pegasus
Opera 2 Consultancy | Pegasus
Opera 2 Maintenance