A full
fledged Financial Accounting system is built into
Build Superfast. All Receipts, Payments &
Journals may be entered into the system to extract
the Trial Balance, P&L and Balance Sheet with
schedules apart from the Day Book, Ledgers, Cash
Flow, Bank Reconciliation Statement and a host
of MIS Reports. The Purchase & Labour entries
are also updated in the Trial Balance.
The
Directories maintained are
1. Accounts
2. Company Maintenance
3. Cost Centre
4. Type Setup
5. Narration Setup