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Inventory & Finance

Stock and purchase management plus finance: ledgers, vouchers, tax rules, payments, and period closure for complete back-office control.

Features & screen functionality

Navigate: /admin/inventory, /admin/finance

Inventory — Item masters

Path: /admin/inventory. Define items and units for stock tracking.

  • Item setup: Name, code, UOM (unit of measure), tax rule, reorder level, opening balance.
  • Tax rule: Link to tax master (e.g. from /admin/inventory/tax-master) for correct GST on purchases/sales.
  • Categories: Group items for reporting and filters.

Inventory — Purchase & stock movement

  • Purchase order: Create PO; link to supplier; items, quantities, rates.
  • Goods receipt: Record receipt against PO; update stock.
  • Supplier bill: Match to GRN; post to ledger for payables.
  • Stock in / out / transfer / adjustment: Manual stock transactions for issues, transfers, write-offs, corrections.
  • Reports: Low-stock list; stock valuation; movement history for replenishment and audit.

Tax master

Path: /admin/inventory/tax-master. Reusable tax rules for inventory and other charge masters.

  • Tax rules: Name, rate (e.g. 5%, 12%, 18%); CGST/SGST or IGST; HSN/SAC if needed.
  • Usage: Linked from inventory items and from operational charge codes for consistent tax on invoices.

Finance — Ledgers & voucher types

Path: /admin/finance. Chart of accounts and voucher configuration.

  • Ledger groups: Group ledgers (e.g. Current assets, Expenses, Income).
  • Ledgers: Create ledgers under groups; opening balance; used in vouchers.
  • Voucher types: Receipt, Payment, Journal, Contra; control debit/credit and numbering.

Finance — Voucher entry

  • Receipt: Record money received; debit cash/bank, credit party or income ledger.
  • Payment: Record money paid; credit cash/bank, debit expense or party.
  • Journal: Multi-line debit/credit for adjustments and transfers.
  • Contra: Cash–bank or bank–bank transfer.
  • Tax & posting: Apply tax rules; post to default ledgers as per configuration.

Finance — Scheduled payments & reports

  • Scheduled payments: Define recurring payments; track due dates and execution.
  • Reconciliation: Bank/cash reconciliation with statement.
  • Period closure: Month-end close; lock period to prevent back-dated entries; run P&L and balance sheet.

Inventory & Finance in one place

Stock, purchases, ledgers, vouchers, and closure for your organization.

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