F2’s account reconciliation tool exposes lack of attention to detail by front end staff, enabling management to deal with these issues swiftly. F2’s strict accounting control ensures data is accurate resulting in information and reporting you can trust. Make decisions regarding the future of your business based on accurate data.
F2 contains a fully integrated suite of accounting tools including Accounts Receivable, Accounts Payable,Fixed Assets, General Ledger, Cash Book as well as a plethora of reports.
All ledgers retain all past transactions which can be retrieved in seconds with ‘drill through’ to the source documents. The comprehensive cash book module includes bank interfaces, banking schedules, bank reconciliation, foreign currency payments, tills, etc. All methods of payment are catered for, including credit cards, finance and gift vouchers.
There’s no batch processing, end of day, end of month or end of year processes. This means there is no compression of historical data, so all historical information is always available in its most complete form. It also means no sudden spikes in work reducing stress on admin staff.
The real time nature of F2 means data entry is pushed out to the front end where F2’s embedded business rules and training enforce best practice on front line staff.
This frees up administration time, allowing admin staff to focus on improving business processes or supporting the sales and service teams.
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