ERP & CRM

Custom Financial Accounting Systems

Double-entry ledger systems built for audited cash flow transparency

Replace high-risk manual financial tracking with a secure double-entry system. We construct comprehensive accounting architectures that automate bank feed matching, track corporate tax frameworks, and organize financial metrics for clean external audits.

150M+

Ledgers Reconciled

100%

Tax Audits Passed

-75%

Manual Entry Saved

2 Rounds

Included Revisions

Request a Corporate General Ledger Architecture Scope
Let’s Get Started

What's Included

Audited double-entry financial structures built for absolute ledger precision

Automated Bank Reconciliation

Linking corporate bank accounts directly to clear data feeds that match payments to open invoices automatically.

Double-Entry General Ledgers

Ensuring absolute system accuracy by running matching debit and credit logs for every single transaction.

Localized Multi-Tier Tax Prep

Segmenting regional sales taxes, custom VAT categories, and corporate tax returns into automated generation windows.

Accounts Payable & Receivable Hubs

Providing clear aging reports to track unpaid customer invoices and schedule vendor payments.

Fixed Asset Depreciation Tracking

Automating asset value deductions over time based on standard depreciation rules.

Comprehensive Audit Trail Logs

Locking down historical transactions with permanent, unalterable modification timestamps for auditors.

Our Process

A structured, transparent roadmap from initial operational architecture to final deployment

01

Discovery

Technical workshop to map system architecture, user flows, and project requirements.

02

Engineering

Custom backend development, database structuring, and responsive frontend interface engineering.

03

Refinement

Stringent quality assurance testing across multiple devices to ensure a bug-free system.

04

Delivery

Smooth production environment deployment, comprehensive documentation handover, and system training.

Technology

Rigorous double-entry mathematical frameworks built for immutable record keeping

Frappe Accounting Frameworks
Custom Relational Engines
BigNumber.js Mathematical Libraries
PostgreSQL Relational Database Instances
Plaid API Services
Open Banking Connections
Tesseract OCR Platforms
GnuPG Encryption Standard Protocols

FAQs

Frequently Asked Questions

Ask Us Anything

ACID compliance is a database safety standard. It guarantees that if a system crash happens mid-transaction, the entire balance run rolls back safely, preventing dangerous partial balance records.

Yes. We integrate secure Open Banking and Plaid API endpoints to import live financial statements safely from major global banks every morning.

We build an isolated "Auditor Mode" access tier. This allows external accountants to view full transaction trails and download documents without altering any data.

Yes. The system updates global currency tables daily, tracking foreign exchange variations and automatically logging realized or unrealized exchange gains and losses.

Employees can upload pictures of receipts via their phones. The built-in optical character recognition (OCR) engine automatically extracts the vendor name, date, and amount, matching it to their bank statement.

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Let's build together

Ready to Build an Immutable System for Corporate Finance?

Connect with our financial engineers today to implement a secure, audit-ready double-entry accounting architecture.