CMS FUND
CMS FUND includes the General Ledger and Bank Reconciliation modules and is designed for our entry-level nonprofit and government customers that need basic, reliable general ledger fund accounting. FUND General Ledger helps you account for an unlimited number of funds, departments or grants, and easily handle inter-fund transfers, fund balancing, and multiple grants with varied year ends. Bank Reconciliation is included for reconciling bank statements with actual checks and deposits. If your accounts payable needs are limited, you may find Bank Reconciliation can effectively handle your payables. Its a basic package for non-profits and governmental agencies that need to track multiple-fund ledgers, and comes complete with budgeting reports like FASB 116 and 117.
CMS FUND SUITE
CMS FUND Suite is a complete package designed specifically for nonprofit organizations and government entities that must balance multiple fund ledgers. Our most popular product for our nonprofit customers, CMS FUND Suite includes the accounting modules you need to effectively manage a nonprofit organization.
The expanded functionality of CMS FUND provides all the tools needed to run a nonprofit business and track funds with different fiscal years or by calendar year. Included are the modules for General Ledger, Accounts Payable, Purchase Order, Bank Reconciliation, and Payroll.
CMS FUND REVENUE CENTER
The CMS FUND Revenue Center is a powerful complement to the CMS FUND Suite. Revenue Center is a tracking tool for nonprofit endeavors such as thrift stores, mail order and fund-raising, and allows you to accept sales orders over the phone or in a point-of-sale environment.
The software prints receipts and billing statements, controls inventory, tracks customers, and analyzes sales. You have all the tools needed for your income-producing activities.
