Transfer or merge transactions and your General Ledger between multiple companies or branch offices. Designed for holding companies or subsidiaries to manage on different databases or networks, it provides a set of features for defining the level of detail wanted during consolidation as well as a comprehensive audit trail.
Create and distribute your transactions across multiple
companies with Intercompany Transactions.
- Multilevel routes between companies with any number of intermediate companies
- An Intercompany loan account reconciliation report
- Full Multicurrency support and integration with Tax Services