Every entity's books, properly separate.
Multiple legal entities, multiple currencies, and intercompany activity that actually posts a journal entry — not a note in a spreadsheet nobody reconciles.
What's covered
Built around what this actually takes
Legal entities kept separate
Every legal entity's books kept properly separate, with currency conversion handled consistently across the ledger.
Intercompany transfers with a real entry
Move stock or cash between legal entities with a proper journal entry behind it, posting to Due To/Due From accounts.
Multi-currency by design
Supported currencies with per-company exchange rate configuration, for consolidated reporting in your base currency.
One view across the group
Switch between companies from one login, without re-authenticating into a separate system per entity.