EVENT Software™'s Financial Information module gives you access to the transaction history created by posting to the General Ledger. Endless varieties of statements and reports can be produced that are meaningful and concise. Financial information from different companies and divisions can be consolidated for presentation with easy selection of date ranges and level of detail.…
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General Ledger
General Ledger handles multiple companies and divisions easily and efficiently with excellent control. A simple password protected function allows any past or future fiscal period to be available for posting across all EVENT Software™ modules. Detailed history is maintained right down to the line item level to form a database for statements and management reports.…
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Capital Assets
The EVENT Software™ Capital Assets module takes care of the inventory, repair, depreciation and disposal of capital assets. You can use Capital Assets as a stand alone package or as a fully integrated part of the EVENT financial and business management system. Like all EVENT systems, Capital Assets will handle multiple companies each with many…
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Bank Reconciliation
EVENT Software™ Bank Reconciliation verifies the cheques and deposits processed through other EVENT modules against your Bank Statements. Adjustments that appear on the Bank Statement such as interest or debt charges can also be posted through this module and a reconciliation report produced that is compared to the General Ledger. Differences are immediately apparent and…
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