How the platform is built.
A module-by-module reference of platform capabilities, operational functions, and system behaviours. Three levels: Module → Function → Feature. Where a function warrants a standalone article, a link placeholder marks the target.
The cross-cutting engines every module is built on: identity, documents, reporting, fields, workflow and administration.
User Identity & Access
#One login across every organisation, with permissions that simply stack.
- One account, many organisations: no juggling logins
- Permission groups that stack, never conflict
- Invite by email, domain auto-accept, or printable QR code
- Bring in accountants and auditors without an HR record
Document Engine
#Every document behaves the same way: draft, confirm, number, design, attach.
- Draft freely: nothing hits the ledger until you confirm
- Gapless, fully configurable serial numbers
- See the exact double-entry before you commit
- Design branded PDFs in-house, no developer
- Attach files at gigabyte scale to any document
Reporting Engine
#Filter, group and pivot any field in any module: no SQL.
- Plain-language query builder: no SQL
- Group by branch, project, customer or period
- Native pivot/matrix with drill-down
- Export presentation-ready or pivot-ready to Excel
Custom Fields
#Add your own data points to any document or record: reportable instantly.
- Text, number, date and dropdown field types
- Attach to any document or master record
- Natively filterable, groupable and exportable
Process Coordination
#Turn recurring procedures into event-triggered task plans across departments.
- Reusable action-plan templates fired by system events
- Role-assigned task sequences with deadlines
- One workflow distributes work across departments
Unit of Measure Engine
#Buy in pallets, store in cases, sell in units: conversions handled.
- Six physical dimensions, ISO/UNECE library
- Factor-based conversion (1 pallet = 48 cases = 576 units)
- Per-SKU UOM override across all documents
System Administration
#Oversight tools: review postings, override safely, deploy presets.
- Posting reviewer queue across all modules
- Audit-logged super-admin override for corrections
- One-click deployment presets (COA, tax, statutory HR)
Full-set double-entry accounting: every other module posts into it automatically.
Chart of Accounts
#Build your accounts from layered industry and regulatory templates.
- Start from industry and regulatory templates
- Layer a core structure with overlays
- Guided setup wizard
- Malaysian presets out of the box
Fiscal Calendar & Period Control
#Any financial year shape, with periods you can open, close and lock.
- Custom year ends, stub and 15-month periods
- Open / close / lock per month
- Locked periods protected, with authorised override
Audit Journal Entries
#Post year-end audit adjustments without re-opening closed books.
- Adjust a closed period via flagged AJE
- Generate adjusted vs unadjusted reports
- Prior-year ledger stays locked and immutable
MyInvois e-Invoice
#Invoices submit to LHDN MyInvois the moment they’re confirmed.
- Submits to LHDN MyInvois on confirmation
- No separate upload step
- Live validation response
- Built into billing, not bolted on
e-Invoice Path Control
#Per document: create, attach, defer, or consolidate for month-end.
- Create, attach, defer or consolidate: per document
- Attach to an existing portal record in seconds
Batch Consolidation & Sync
#Harvest a month of consolidated invoices into one portal submission.
- Bulk month-end review and submission
- Bi-directional portal sync
- Cancellations and validations mirrored back
Multi-Currency & Exchange Rates
#Each document carries its own spot rate; define any currency you need.
- Per-document spot rate by document class
- Custom currencies, 12-dp precision
- Reporting currency (3rd layer): on the roadmap
Period-End Revaluation
#Open currency positions revalue and auto-reverse at period close.
- Revalues open positions at period end, reverses automatically
- IFRS IAS 21 / US GAAP ASC 830 aligned
Accounts Receivable & Payable
#One settlement hub for receipts and payments, with multi-source knock-off.
- Receipts and payments through one hub
- Combine bank, credit notes and deposits in a single settlement
- Advance deposits ring-fenced from trade balances
- A clean audit trail for every cash movement
Bank & Cash Management
#Reconciliation that never resets: unmatched items carry forward.
- Persistent carry-forward of unmatched items
- Automated matching plus a narrative discrepancy log
- Auditor-ready chronological history
Financial Reporting
#Always-current statements you can drill from total to source document.
- Live P&L, balance sheet and cash flow: no month-end wait
- Drill from any figure to its source document
- Up to five-year side-by-side comparison
- Copes with a changing chart of accounts over time
Staff & Director Expenses
#Claims flow through approval to payment or payroll settlement.
- Four-stage approval chain
- Settle as a voucher or inside a payroll batch
- Priority processing for director claims
Error Management
#Fix mistakes without breaking document chains or the ledger.
- Sequential reversal keeps document chains intact
- Reassign a posted account without a full void
Quote to cash: quotations, orders, margins, customers and product setup.
Quotation Management
#One document, three modes: quotation, estimate or pro-forma.
- Quotation, estimate or pro-forma in one document
- Pro-forma collects deposits with no tax liability
- One-click conversion to a sales order
- Formal change orders after confirmation
Order Processing
#Run allocation, invoicing and delivery from one order.
- Allocate stock against the order
- Invoice in full or in stages
- Drive delivery orders from the same document
Margin & Live Cost Baseline
#See true margin against a live cost baseline as you sell.
- Live cost baseline and margin per line
- Know your profit before you commit
Customer Management
#Customers, price books and credit control in one place.
- Per-customer price books
- Credit limit and control
- Contacts, terms and tax profile
Product Configuration
#Set up what you sell: including inventory-mode stock types.
- Service and inventory product types
- Shared with purchasing and inventory
Source, order, receive and pay: with approval before money is committed.
Requisition & Approval
#Request what you need and get it signed off before any spend.
- Raised manually or auto-triggered from sales / service
- Standard manager approve / reject workflow
- Mandatory reason on rejection
Vendor Sourcing
#Ask vendors for quotes, compare, and turn the best into an order.
- RFQ to vendors, responses captured as quotes
- Compare pricing, terms and lead times
- Convert the winning quote to a purchase order
Goods Receiving
#Record what actually arrives and flag discrepancies.
- Receive against the purchase order
- Short and over deliveries flagged
- Updates inventory on receipt
Purchase Invoicing
#Match the bill to order and receipt, then post to payables.
- Three-way match: order, receipt, invoice
- Tax and MyInvois e-Invoice aware
- Posts straight to accounts payable
- Debit notes for returns and adjustments
Vendor Management
#Vendor companies, contacts, terms and debit notes in one place.
- Companies and multiple contacts
- Payment terms and tax profile
- Debit notes for returns and adjustments
Know exactly what’s available before you promise it: with full traceability.
Stock Visibility
#Physical, reserved and available tracked separately to stop overselling.
- Physical, reserved and available: tracked apart
- Never promise stock you don’t have
- Dynamic stock finder across locations
- Real-time, no overnight refresh
Stock Groups
#Organise SKUs by category, class and grouping for reporting.
- Categories, classes and groupings
- Drives clean, filtered reporting
Stock Operations
#Count, adjust and move stock with a cart-style workflow.
- Stock counts and adjustments
- Shopping-cart accumulation for bulk moves
- Posts inventory and GL impact
Traceability
#Serial, batch, lot and expiry tracking with FEFO.
- Serial-number tracking
- Batch and lot control
- Expiry tracking with FEFO
- Track your own custom attributes
SKU Master
#The single record for every stock item across the platform.
- Shared SKU master
- Attributes, UOM and costing
- Used by sales, purchase and production
BOM & Assembly
#Build finished goods from components with a bill of materials.
- Multi-level bills of materials
- Feeds production and accurate costing
Tickets to work orders to billing: the after-sale operations layer.
Ticket Management
#Capture, route and resolve customer issues.
- Capture tickets from any channel
- Assign, thread and track to resolution
- Linked to customers, assets and contracts
- Full history for SLA confidence
Service Order
#The command centre coordinating a service job end to end.
- Central job coordination
- Links parts, labour and entitlement
- Drives work orders and billing
Service Plan
#Recurring service agreements and scheduled visits.
- Recurring service agreements
- Scheduled visit planning
- Procurement items can auto-raise requisitions
Work Orders
#Dispatchable jobs for technicians on the ground.
- Technician work orders
- Parts and labour capture
- Digital sign-off
Billing & Entitlement
#Bill the service and track contract entitlement.
- Contract entitlement types and balances
- Deliver and bill in a single flow
Customer Portal
#A self-service portal your customers reach by QR or secure link.
- Reach it by QR code or secure link
- Raise tickets and approve quotes online
- Sign off work orders digitally
- View jobs, invoices and downloads
AI Knowledge Assistant
#Plain-language answers over your knowledge base and live data.
- Vector search with LLM-formulated answers
- Query live entitlement, asset and contact data
- Pre-job compatibility checks
Malaysian payroll: runs, statutory contributions, payslips and privacy.
Payroll Run
#Process a pay cycle from items to posted payslips.
- Process a full pay cycle in one batch
- Earnings, deductions and contributions
- Posts straight to the ledger
- Repeatable, audit-friendly runs
Payroll Items
#Define earnings and deductions with effective dating.
- Configurable earning / deduction items
- Effective-date configuration
- Reusable across employees
Proration
#Mid-cycle joiners and leavers prorated automatically.
- Mid-period joiners and leavers prorated automatically
- Accurate part-period pay, every time
Malaysian Statutory
#EPF, SOCSO, EIS and PCB with submission files.
- EPF and SOCSO
- EIS and PCB
- Ready-to-file statutory submission files
- Compliance-aligned calculations
Output & Privacy
#Payslips delivered with sensitive pay data kept private.
- Branded payslip output
- Access-scoped pay data
- Privacy controls on sensitive figures
A coordination layer connecting Purchase, Inventory and Sales in one daily view.
SCM Dashboard
#A daily cross-module view of inbound, stock position and outbound.
- Five tabs: Overview, Inbound, Stock, Outbound, more
- Bar charts and colour-coded indicators
- Connects purchase, inventory and sales
Constraint Signals
#Surfaces bottlenecks before they bite.
- Surfaces shortages and bottlenecks early
- Aggregates signals across modules
The people record that feeds payroll: with org structure in development.
Employee Records
#The master record for every person, shared with payroll.
- Central employee master
- Personal, employment and statutory data
- Decoupled from system login
Payroll Configuration
#Per-employee payroll setup feeding the payroll run.
- Per-employee payroll items
- Statutory and bank details
- Feeds the payroll batch
Lifecycle & Organisation
#Departments, reporting lines, grades and onboarding flows.
- Planned: department and team management
- Planned: reporting lines and job grades
- Planned: onboarding / offboarding routing
Acquire, depreciate and dispose: the asset register tied to the ledger.
Asset Acquisition
#Register assets individually or as managed groups.
- Capitalise from purchase or journal
- Grouped asset management
- Links to the ledger
Depreciation
#Scheduled depreciation runs posted to the ledger.
- Configurable depreciation methods
- Scheduled run posting
- Accumulated depreciation tracked
Disposal & Write-Off
#Retire assets with gain/loss posted automatically.
- Disposal and write-off with automatic gain/loss
- Keeps the register audit-clean
Further modules that ride on the same core.
Workplace
#Employee self-service: claims, requests and the staff portal.
- Self-service claims and requests
- Staff-facing workplace portal
- Feeds finance and payroll
Project
#Track projects, tasks and costs against the ledger.
- Project and task tracking
- Project costing and tagging
- Time and expense capture
Production
#Manufacture orders, batches and shop-floor stations.
- Manufacture and batch orders
- Shop-floor stations
- BOM-driven planning
Roadmap
#Capabilities in development or planned. Subject to change.
- Reporting currency (third currency layer)
- HR organisation, time & attendance
- See module cards above for live status