Streamlined bank reconciliations, traceable expense tracking, real-time cash flow, and structured, customizable reports.
Flexible configuration of the annual cash flow plan, reallocation of resources, and controlled monthly closings.
configuration of payroll items, accurate accounting provisions, payroll settlements by payroll type, and automated generation of employee benefits.
Dynamic, accurate reports tailored to each feature to facilitate analysis and decision-making.
warehouse setup, depreciation tracking, asset configuration, and real-time inventory tracking by manager.
automatic calculation of budget amounts and percentages, tracking of budget periods and amendments, and direct integration with financial modules.
Efficient management of requests, tracking of procedures, and improved generation of filing reports.
Reading and billing of actual consumption, configuration of rate tiers and adjustments, application of rates, credit memos, and review of past-due accounts.
98 A Street, No. 51-37
Ecotorre Building, Office 307
Bogotá, Colombia
+57 3247759771
info@tecsersas.com