This program helps administrators maintain a more effective control of their funds at the School or District level. It's used for Activity Accounting and basic fund Accounting functions.
Key Benefits:
Pop up lists make adding information quick and easy
Bank reconciliation is quick and easy
Account balances update immediately
Preview checks before printing
Print receipts as they are entered
Export reports to Excel spreadsheets
Auto Backup ensures timely backups and gives the District immediate access to Schools data
Print over 100 reports including Ledger and Reconciliation reports