Dashboard
Today · —
Total Bank Balance
Loading…
OD Utilized
OD Available
Drawable now
Net Liquidity
Bank balance + OD headroom
🔔 Active Alerts
Loading alerts…
↓ Receivables Due
Today
 Expected
This Week
 Upcoming
This Month
 Pipeline
↑ Payables Due
Today
 Due
This Week
 Upcoming
This Month
 Planned
Recent Activity
View All →
Loading…
Quick Actions
Bank Accounts
Actual balances computed from transactions
Total Actual Balance
Cleared transactions only
Pending Outflows
Issued / planned
30-Day Forecast
See Cash Forecast page
All Bank Accounts
Bank Nickname Account No. Opening Balance Actual Balance Adjusted Balance Pending Outflows Status Actions
Loading…
New Transaction
Enter deposit or withdrawal
Transaction Details
↓ Inflow (Money In)
↑ Outflow (Money Out)
Status *
Planned
Issued
Deposited
Cleared
Partially Cleared
Bounced
Cancelled
Deferred
Transactions
Running ledger across all accounts
Total Inflows (MTD)
Total Outflows (MTD)
Uncleared
pending items
From To
Date Value Date Bank Party Category Mode Reference Inflow Outflow Balance Status Actions
Loading…
Post-Dated Cheques
Track issued and received PDCs
PDCs Issued
PDCs Received
Due This Week
TypePartyCheque DatePresentment DateCheque No.AmountPDC StatusLinked StatusActions
Loading…
Receivables Planning
Expected inflows from clients
Receivables Aging
Current
1–7 Days Overdue
8–30 Days Overdue
30+ Days Overdue
Expected DateClientInvoice / RefAmountStatusActual DateVarianceActions
Loading…
Payables Planning
Scheduled outflows and commitments
Due Today
Due This Week
Overdue
Due DateVendor / PayeeCategoryAmountStatusActions
Loading…
Flexi OD Facilities
Overdraft limits, utilization & rules
Total Utilized
Total Available
EMI Due (Month)
Loading facilities…
Cash Forecast
13-week rolling daily liquidity projection
From
To
Bank
OD Support
Expected Inflows
From receivables
Expected Outflows
From payables
Projected Closing
Date Opening Balance Inflows Outflows Net Movement Closing Cash OD Headroom Total Liquidity Deficit / Surplus
Loading forecast…
Deficit day (cash < 0) Active inflow/outflow day Hover Inflows/Outflows to see items. OD headroom = remaining drawable limit.
Reports
Generate and export operational reports
🏦
Bank Transaction Report
Complete ledger with running balance. Filter by bank and date range.
📥
Receivables Aging
Current, 1–7, 8–30, and 30+ days overdue buckets as of a selected date.
As of date
📤
Payables Schedule
Upcoming obligations sorted by due date. Highlights overdue payables.
OD Utilization Report
Current snapshot of all OD facilities — limit, utilized, available, rate.
Current snapshot · No date filter
📊
Daily Cash Position
Bank balance and adjusted balance for each day in a historical range.
Variance Report
Expected vs actual collections — day variance, amount variance, on-time rate.
Settings & Administration
Manage users, banks, OD rules, and system configuration
👤 Users & Roles
◈ OD Facility Rules
🔔 Alert Thresholds
🏦 Bank Accounts
🔒 Change Password
Users & Role Management
NameEmailRoleStatusLast LoginActions
Loading…