AICCO Finance

AICCO AICCO Finance

Dashboard

Cash, bank and employee accounts

New

Cash in hand

Balance overview

SAR 0.00

Cost center analysis

Where the expense sits

Budget use

Booked against allocated budget

Statement

Cash given is money paid to the employee. Bills received are expenses settled against that float, one nature per line. Cash returned is money brought back. Balance amount is still with the employee.

Employee accounts

Float, bills, cash returned, and balance

Enter an expense that is not posted in this app. Month is required. ERP reference is optional.

Expense summary

Bills settled here, matched to the ERP voucher number

Missing ERP reference

Settled bills that still have no ERP voucher number

Print the request for the manager. Approve and post turns an approved request into a cash or bank voucher. It does not move money before that.

Settings

Currency and entity name appear on screen and on prints. A period lock blocks new, edited, or deleted vouchers on or before that date.

Backup

Download the books, or restore a JSON backup. Restoring replaces the current books.

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