Base module for Accounting customization
Viindoo Accounting
Account Reconciliation Widget and Functions for bank statement reconciliation and journal items reconciliation
Account Reconciliation Widget
Counterpart relations between Journal Items
Account Counterparts
Record details of payment lines and their countered account
Payment with Payment Lines
Manage commercial partners' e-wallets
E-Wallet
Different Accounts for Refunding income and expense
Refund Accounts
Financial and Analytic Accounting
Accounting & Finance
View and create reports
Accounting & Financial Reports
Add specific identification costing method to inventory valuation
Specific Identification Costing
Allow the allocation of costs to inventory for products configured with automatic inventory valuation and specific identification costing.
Specific Identification Costing & Landed Costs
Online payment integration with VNPay
VNPay Payment Acquirer
Manage your company loans
Loan Management
Import bank statements in CSV and XLSX
Account Bank Statement Import
Automatic currency rates update by ACB bank
Automatic Currency Rates Update by ACB bank
Automatically update the currency rates by VietcomBank
Automatic Currency Rates Update VietcomBank
This module enables inventory valuation using the specific identification method for manufactured products
Stock Specific Identification & Manufacturing
Import Bank Statement at RJE format
Import RJE Bank Statement
When updating the tax grid for existing journal entries, recomputing the counterpart data is not necessary.
Account - Allow updating tax grids - Without Counterpart Update
The bridge module between Account Counterpart and Account Reconciliation
Account Counterpart - Account Reconciliation
Intergrating MoMo Payment Acquirer with Viindoo software.
MoMo Payment Provider