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Inventory

Organize Inventory:
  • Using Nil. for invoicing
  • Services inventory that isn't being monitored
  • Managing Material Transfer In (MTI)-Options
  • In Nil., create a new inventory object for tracked inventory.
  • In Nil., build a tracked inventory.
  • In Nil., build a tracked inventory. In Nil., organize the tracked inventory.
  • Typical scenarios for setting up inventory tracking
  • Develop text that can be reproduced on invoices, quotations, sales orders, and other documents.
  • Nil. inventory objects can be imported.
Manage inventory:
  • Turn an untracked inventory item into a tracked item.
  • Explore and view Material Transfer In (MTI) items
  • Toggle between tracked and untracked inventory products.
  • Mark in stock and out of stock to an inventory.
  • Adjustments to the inventory balance
  • Nil. inventory products can be exported.
  • MTI can be modified or deleted.
  • Record Inventory return
Reports:
  • Nil. Inventory Item Summary report
  • Nil. Inventory Transactions report
  • Nil. Inventory Sales report
  • Nil. Inventory Item Details report
  • Nil. Inventory Item List report
  • Nil. Sales by Item report
Budgets:
  • Create a budget
  • Import a budget
  • Edit a budget
  • Nil. Budget Summary report
  • Nil. Budget Variance report
  • Export a budget
  • Delete a budget
Manual journals:
  • Manual journals can be added, imported, and released.
  • Manual journals can be viewed, edited, or copied.
  • Manual journals can be reversed or canceled.
  • Organize repeating journal
Chart of accounts:
  • In Nil. , you can build a chart of accounts.
  • Create, edit, or remove a user account.
  • Import chart of accounts
  • Enable transfers to be made to a particular account.
  • In your chart of accounts, adjust the tax rate on an account.
  • From your chart of accounts, you can operate subaccounts.
  • Change the style of the Balance Sheet for system and subsidiary accounts.
  • Your chart of accounts can be exported or printed.
  • Account features in your chart of accounts
  • Recognize the historical adjustment balance
  • In the chart of accounts, manage foreign exchange accounts.
Re-coding
  • About Nil. find and re-code
  • Select a group of transaction lines and re-code them.
  • View transaction details as well as re-coding history.
  • Typical problems with find and re-code
Multicurrency accounting:
  • Multi-currency
  • Add a foreign currency to Nil.
  • Establish a transaction in foreign currency
  • View conversion rate
  • Edit a date, or transaction exchange rate