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Feasibility Study Software Development

Transparency International Pakistan

The client required its bookkeeping or accounts to be automated. We first conducted a survey of the
the existing manual system identified loopholes and bottlenecks and then propose, developed and
implemented software that is live and running in TIP’s Finance Department.

Salient Features:

  • Char of Accounts (Up to Five Levels)
  • Multiple Vouchers’ Prefix Setup
  • Fiscal Year Control Over Multiple Periods
  • Journal Voucher Transactions
  • Payment & Receipt Voucher Transactions
  • Contra Voucher Transactions
  • Allocation of the transaction to a specific Project/cost center
  • Accounts Ledger
  • Trial Balance
  • Activity Trial Balance
  • Control Trial Balance
  • Subsidiary Trial Balance
  • Profit & Loss Statement
  • Balance Sheet