CHART OF ACCOUNTS
Built for your business, not a generic template
Income and expense structure, cost centres, and reporting categories set up to match how your business actually operates and reports.
TAX CONFIGURATION
GST, VAT or sales tax set up correctly, not left at default
Tax rates, codes and filing categories configured for the jurisdiction you operate in — not a default rate applied to everything.
MODULE INTEGRATION
Every module connected, not configured in isolation
CRM deals flow into Books invoices. Inventory movements hit the right accounts. Payroll posts automatically. An IT reseller configures modules; we connect them.
RECONCILIATION
Bank and ledger reconciled monthly, not at year end
Bank feeds matched, mismatches flagged before they compound. No year-end scramble to explain a gap that has been growing for months.
MIGRATION
Moved to Zoho without losing your history
Ledgers mapped to the correct Zoho Books account types. Opening balances verified. Bank statements reconciled year on year, not journal-dumped.
ONGOING ACCOUNTING
Books and compliance, every month, one team
Bookkeeping, bank reconciliation, tax filings and payroll — all managed in Zoho by the same firm that implemented it. One monthly retainer.