Periodically automatically create accounting entries to transfer or allocate part or all of the balances of one or more accounts
New a feature to specify the retrieval of data for either Debit or Credit transactions of the source journal entry to generate the transfer result.
Import bank statements in CSV and XLSX
The bridge module between Account Counterpart and Account Reconciliation
Counterpart relations between Journal Items
Account Product Approval
Accounting analysis with Pivot and Graph
Excluded in Legal Reports filtering for accounting journal entries and journal items
Allows the option of issuing e-invoices VN-Invoice in a detailed or aggregated form
Porvides link between additional costs lines and related journal items
Manage country's administrative regions which may differ from country's geographic regions in some countries
Set up Supplier Currency of Partner for Affiliate
Help users know which affiliate the leads/opportunities comes from.
Bridge module between Loyalty and Affiliate Program
Bridge module between Loyalty Affiliate Program and Point of sale
Bridge module between Loyalty Affiliate Program and Sale
Manage Affiliates, Affiliate Programs and Commission
Record the verified commission amount when the user pays the merchant's sale order.
Affiliate Sale CRM Integration. Automatically attach the affiliate code to the sale order when creating a quotation from a lead.
Affiliate Website CRM LiveChat Integration.