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Nyra
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Finance & control

Accounting

One ledger the whole business posts to.

Journals, receipts, payments, banking, and period close on the same record as sales, purchasing, and the floor. Post once and every report reads the same books.

Accounting in Nyra

01

A chart of accounts that fits

Multi-entity, multi-currency, with posting periods and coding rules that keep entries where they belong.

02

Cash, cards, and banks in one place

Receipts, cash on delivery, card settlements, bank-in, inter-bank transfers, and reconciliations without a spreadsheet in between.

03

Period close that runs itself

Recurring journals, prepayments and amortisation runs, FX revaluation, and payment runs scheduled rather than remembered.

Everything in Accounting

The screens your team gets.

Taken from the product's own navigation. Every one of them reads and writes the same records as the rest of Nyra.

  • Chart of accounts
  • Journal entries
  • Opening balances
  • Receipts
  • Cash on delivery
  • Card settlements
  • Sales reconciliation
  • Payments and payment runs
  • Bank accounts and bank-in
  • Merchants
  • Coding rules
  • Spend feeds
  • Inter-bank transfers
  • Bank reconciliations
  • Cash drawers and petty cash
  • Posting periods
  • Recurring journals
  • Prepayments and amortisation
  • FX revaluation
  • Tax codes and payment methods

See Accounting on your operation.