Reconciliation Dashboard - Accounting System for Real Estate

Hey folks,

Here's a shot for the product we're worked on this entire year. It was really good to learn and understand how Real Estate Brokerages and Accountants users could use this product.
In this module, users can reconcile transactions to make the General Ledger balance match the Statement Ending balance (Bank balance).

In fact, It was hard to think about how to reconcile an account with a bank account works but with strong team collaboration, we did it. Thanks a lot, @Thiago Dalcin, @Henrique Bittencourt and @Fernanda Telles.

More by Ambush

View profile