Delivering efficiency and empowerment to your organisation, Whistlebrook Financials combines accounting and financial institution expertise, providing you with the opportunity to adopt the best practices in managing your business.
Producing the monthly management accounts within one week of the month end and having them available on-line to all business managers will become the accepted norm.
Supplier management is a key part of today’s competitive business environment. Whistlebrook Financials Purchase Ledger uses a sophisticated supplier and invoice selection process to maximise your cash efficiency, yet still pay the suppliers who really count, on time.
The sales ledger is a fully functional credit control system. Your customers come in many shapes and sizes – you will probably have varying terms across your customer base – 15 days, 30 days, 60 days or even more depending on your business sector.
Managing your cash is made simple with the Whistlebrook Financials Cash Book. It handles multiple currencies, multiple bank accounts, multiple petty cash accounts , on-screen bank reconciliations and currency revaluations, all with ease.
Whistlebrook Financials is widely used amongst financial institutions and is a market leading system within the building society sector.
For more information on Whistlebrook Financials please follow this link:
https://www.whistlebrook.co.uk/Solutions/Finance/whistlebrook_financials