BOS ACCOUNTING FEATURES AND BENEFITS

BOS offers a comprehensive suite of accounting tools designed to streamline financial processes and support IFRS standards, ensuring global compliance and accuracy.

Key features include multi-entity and multi-currency support, advanced invoicing, real-time error tracking, and extensive reporting capabilities. These robust tools enhance efficiency, accuracy, and financial control, simplifying accounting workflows and supporting business growth.

Discover how these cutting-edge solutions can transform financial management in your organisation.

quickeasy-software-accounting

BOS ACCOUNTING FEATURES AND BENEFITS

BOS offers a comprehensive suite of accounting tools designed to streamline financial processes and support IFRS standards, ensuring global compliance and accuracy.

Key features include multi-entity and multi-currency support, advanced invoicing, real-time error tracking, and extensive reporting capabilities. These robust tools enhance efficiency, accuracy, and financial control, simplifying accounting workflows and supporting business growth.

Discover how these cutting-edge solutions can transform financial management in your organisation.

General

Multiple Entities - Manages multiple entities with consolidated financial reporting, centralising control for diversified businesses in one database.

Foreign Currencies - Supports multiple currencies with automatic conversions, simplifying accounting for international transactions.

Accounting Errors Tracker - Tracks accounting errors in real time, reducing the risk of financial misstatements and promoting timely corrections.

Bank Import & Reconciliation - Automates bank statement imports and bank reconciliations, saving time and reducing manual errors.

VAT Reconciliation Tool - Automates VAT calculations and supports multiple VAT models, ensuring compliance with tax regulations.

Multiple Ledger Views - Offers various ledger views for enhanced financial analysis and detailed transaction tracking.

Accounting Budgets - Enables setting and tracking accounting budgets with variance analysis, facilitating financial planning and performance monitoring.

Contract Billing - Facilitates batch invoicing for contracts, streamlining billing processes for large volumes.

Service Billing - Integrates timekeeping with invoicing, ensuring accurate and timely billing with customisable rates.

Landing Costs - Allocates landing costs accurately, providing precise inventory valuation and enhancing cost management.

Custom Transaction Types - Allows the definition of custom transactions, tailoring the system to specific business needs for enhanced accuracy.

Work In Progress & Inventory - Monitors work in progress and manages inventory levels, improving tracking and inventory control.

Project Progress Invoicing - Supports project progress invoicing, ensuring timely and accurate billing for ongoing projects.

Checklists & Approvals - Integrates checklists and approvals, streamlining workflows and ensuring compliance with internal controls.

Manage Period Close-Offs - Provides a structured close-off process with automation features, ensuring completeness and accuracy.

Receivables

Debtors Management System - Centralises debtor management with reminder and comment features, enhancing follow-up and collection processes.

Part Invoicing - Supports part invoicing, increasing billing flexibility and reducing disputes.

Manage Customer Deposits - Tracks and allocates customer deposits to invoices, improving cash flow management and financial accuracy.

Invoice allocation to Discounts, Credits and Receipts - Provides easy allocation methods for discounts, credits, and receipts, enhancing accuracy and saving time.

Posting of Discounts Allowed and Overpayments - Ensures accurate posting of discounts and efficient management of overpayments, reducing reconciliation issues.

Debit Order Management - Provides a debit order management tool to allocate receipts, and track payment statuses, enhancing efficiency in collections.

Batch Customer Statements - Processes batch customer statements, keeping customers informed and promoting timely payments.

Batch Email Account Payment Reminders - Send batch payment reminders with customisable templates, reducing overdue accounts and enhancing communication.

Suspend Overdrawn Accounts - Automatically suspends overdrawn accounts, controlling credit risk and protecting the company’s financial health.

Payables

Part Invoicing - Supports partial payments, increasing flexibility in payment terms and promoting better supplier relationships.

Invoice allocation to Discounts, Debits and Payments - Provides easy allocation methods ensuring accuracy and effective management.

Posting of Discounts Allowed and Overpayments - Ensures accurate financial records by managing supplier discounts and overpayments, reducing reconciliation issues.

Supplier Payment Management Tool - Facilitates batch processing of payments with automated scheduling, saving time and ensuring timely payments.

Reports and Dashboards

Management Reports - Provides comprehensive management reports with customisable output formats, offering critical insights for decision-making.

Entity or Group Reporting - Generates consolidated group reports and entity-specific reports, enhancing overall financial visibility and detail.

Interactive Reports and Dashboards - Offers interactive reports with drilldown, sorting, grouping, and filtering features, facilitating deeper financial analysis.

Comparative Views - Provides side-by-side comparisons and historical data analysis, improving performance analysis and trend identification.

Financial Dashboards and Charts - Features visual financial dashboards and customisable charts, enhancing quick insights and decision-making.

Customisable Output - Offers customisable report outputs in multiple formats, meeting specific reporting requirements and enhancing flexibility.

General

Multiple Entities - Manages multiple entities with consolidated financial reporting, centralising control for diversified businesses in one database.

Foreign Currencies - Supports multiple currencies with automatic conversions, simplifying accounting for international transactions.

Accounting Errors Tracker - Tracks accounting errors in real time, reducing the risk of financial misstatements and promoting timely corrections.

Bank Import & Reconciliation - Automates bank statement imports and bank reconciliations, saving time and reducing manual errors.

VAT Reconciliation Tool - Automates VAT calculations and supports multiple VAT models, ensuring compliance with tax regulations.

Multiple Ledger Views - Offers various ledger views for enhanced financial analysis and detailed transaction tracking.

Accounting Budgets - Enables setting and tracking accounting budgets with variance analysis, facilitating financial planning and performance monitoring.

Contract Billing - Facilitates batch invoicing for contracts, streamlining billing processes for large volumes.

Service Billing - Integrates timekeeping with invoicing, ensuring accurate and timely billing with customisable rates.

Landing Costs - Allocates landing costs accurately, providing precise inventory valuation and enhancing cost management.

Custom Transaction Types - Allows the definition of custom transactions, tailoring the system to specific business needs for enhanced accuracy.

Work In Progress & Inventory - Monitors work in progress and manages inventory levels, improving tracking and inventory control.

Project Progress Invoicing - Supports project progress invoicing, ensuring timely and accurate billing for ongoing projects.

Checklists & Approvals - Integrates checklists and approvals, streamlining workflows and ensuring compliance with internal controls.

Manage Period Close-Offs - Provides a structured close-off process with automation features, ensuring completeness and accuracy.

Receivables

Debtors Management System - Centralises debtor management with reminder and comment features, enhancing follow-up and collection processes.

Part Invoicing - Supports part invoicing, increasing billing flexibility and reducing disputes.

Manage Customer Deposits - Tracks and allocates customer deposits to invoices, improving cash flow management and financial accuracy.

Invoice allocation to Discounts, Credits and Receipts - Provides easy allocation methods for discounts, credits, and receipts, enhancing accuracy and saving time.

Posting of Discounts Allowed and Overpayments - Ensures accurate posting of discounts and efficient management of overpayments, reducing reconciliation issues.

Debit Order Management - Provides a debit order management tool to allocate receipts, and track payment statuses, enhancing efficiency in collections.

Batch Customer Statements - Processes batch customer statements, keeping customers informed and promoting timely payments.

Batch Email Account Payment Reminders - Send batch payment reminders with customisable templates, reducing overdue accounts and enhancing communication.

Suspend Overdrawn Accounts - Automatically suspends overdrawn accounts, controlling credit risk and protecting the company’s financial health.

Payables

Part Invoicing - Supports partial payments, increasing flexibility in payment terms and promoting better supplier relationships.

Invoice allocation to Discounts, Debits and Payments - Provides easy allocation methods ensuring accuracy and effective management.

Posting of Discounts Allowed and Overpayments - Ensures accurate financial records by managing supplier discounts and overpayments, reducing reconciliation issues.

Supplier Payment Management Tool - Facilitates batch processing of payments with automated scheduling, saving time and ensuring timely payments.

Reports and Dashboards

Management Reports - Provides comprehensive management reports with customisable output formats, offering critical insights for decision-making.

Entity or Group Reporting - Generates consolidated group reports and entity-specific reports, enhancing overall financial visibility and detail.

Interactive Reports and Dashboards - Offers interactive reports with drilldown, sorting, grouping, and filtering features, facilitating deeper financial analysis.

Comparative Views - Provides side-by-side comparisons and historical data analysis, improving performance analysis and trend identification.

Financial Dashboards and Charts - Features visual financial dashboards and customisable charts, enhancing quick insights and decision-making.

Customisable Output - Offers customisable report outputs in multiple formats, meeting specific reporting requirements and enhancing flexibility.

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