Real double-entry bookkeeping, multi-currency, and a full order-to-cash and procure-to-pay cycle — sales, purchasing, inventory, and point of sale, all in one place.
Sales orders, deliveries, invoices, and payments — with a real customer ledger that always ties out.
Purchase orders, goods receipts, and purchase invoices, matched and reconciled against inventory.
Every organization gets its own isolated books, with support for multiple currencies and languages.