2. Accounts Receivables
3. Fixed Assets and reports
4. Inventory and reports
5. GRIR clearing accounts
6. Prepaid / advances and reports / Recurring JV’s
7. Finance Leasing booking
8. Custom duties and VAT
9. Accrued expense and reports
10. Cost Center and Profit center reporting
11. Payroll posting and recon
12. Employee accruals
13. Loan Management with five banks