Powerful general ledger
Readysell employs a self-balancing transaction model for all operations in the system. Every transaction feeds back into Readysell’s powerful GL. From there, you can report within or across sites, at any level of your account tree and across any date or period range.
Not only does Readysell allow you to run your business on cash basis or accrual basis GST, we won’t hold you to it if you change your mind. Every GST period Readysell gives you full visibility into what your paying and what you’re getting credit for. It will even help you fill out your BAS!
Automated bank reconciliation
Readysell lets you import transactions from your bank straight into your bank reconciliation. It will automatically mark off any transactions already in the system and can even create new cash book entries based on a set of predefined rules. You’ll be done in minutes.
Full audit trail
Every time someone creates, modifies or deletes something in Readysell the comprehensive audit trail takes note. You’ll know exactly what’s going on in your system.