THE BETTERBOOKS PLATFORM
Accounting software features built around the way accounting works
BetterBooks accounting software features cover the general ledger, payables, receivables, cash, the close, reporting and the extended areas growing finance teams need — each with a page that explains what it does and where its limits are.
The daily work. The month-end detail. The bigger financial picture. Explore 20 connected capability areas built into the BetterBooks application.
Core accounting
General ledger
Explore accounts, journals and transaction activity in one connected workspace.
Explore the workspace02Accounts payable
Bring vendors, bills, credits and recorded payments into the same conversation.
Explore the workspace03Accounts receivable
Follow customer balances from invoice to receipt, with the underlying detail close at hand.
Explore the workspace06Recurring accounting
Organize recurring templates, reminders and preparation history while preserving the distinction between a schedule and a posted document.
Explore the workspace07Cash & reconciliation
Connect the bank account, the statement and the accounting entry in a focused cash workspace.
Explore the workspace08Period close
Bring period management and close review into the same accounting conversation.
Explore the workspaceFinancial operations
Purchasing & orders
Review purchase orders, receiving and bill-matching context without losing the document trail.
Explore the workspace10Inventory
Review items, warehouse balances, movements and counts alongside the accounting they support.
Explore the workspace11Projects & time
Connect project records, time and profitability review so revenue is not the only part of the story.
Explore the workspace12Contracts & revenue
Review contract lines, billing schedules and revenue schedules with their own accounting meaning.
Explore the workspace13Fixed assets
Review the asset register, categories and depreciation workflows through the life of an asset.
Explore the workspace14Expense management
Give expense reports, account coding and approval review a dedicated place in the finance workflow.
Explore the workspacePlanning & insight
Financial reporting
Review your trial balance, general ledger, financial statements and aging with a consistent accounting context.
Explore the workspace05EBITDA & adjustments
Move from net income to EBITDA and review proposed adjustments with their evidence and decision history.
Explore the workspace15Budgets & variance
Build and review budgets, then explore the difference between expectations and recorded results.
Explore the workspace16Multi-entity & consolidation
Work with books, entity relationships, intercompany activity and consolidated financial review.
Explore the workspace17Dimensions & currency
Review dimension configuration and exchange-rate workflows alongside the accounts they enrich.
Explore the workspacePlatform & control
Access & accounting controls
Use IOP identity with company membership, book access and role permissions tailored to the team.
Explore the workspace19Import & source visibility
Bring supported source records into BetterBooks, then inspect coverage and reconcile the result.
Explore the workspace20Tax review workspaces
Review tax configuration, sales-tax information and contractor reporting context within the accounting workspace.
Explore the workspaceClarity in every account.
Get closer to your numbers.
Start with your existing identity. Build a clearer view of your accounting.