NOVA Accounting
The NOVA Account module provides client accounting facilities to support the various financial transactions generated within the NOVA system. It includes management accounting functionality and provides an export facility for transferring account balances (according to user-defined consolidation rules) to other general ledger systems.
Features
Multi-Currency / Transaction & Value Date Accounting
Cross-Company and Cross-Currency transactions
User-defined transaction posting rules, Accounting Periods and Account groups
Real-Time Account Balance and Transaction Enquiries
Journals
Periodic and ad-hoc report generation
Double entry accounting for Stock & Cash
Supports both File and Real-time API adaptors
Periodic Statement Production in User-Defined Statement Format
Benefits
Streamlined and straight-through accounting reporting
Complete integrity and control over accounting records
Flexible reporting to meet local requirements
Real-time visibility of critical data including balances and positions
