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Cash Management
In Depth Management
Dealing with incoming cash easily and quickly, whilst entering and providing all the necessary financial and analytical data is one of PIMS’ main strengths. PIMS can interface with all major banks for reconciliation and payment purposes and utilises the AUDDIS system to set up and cancel Direct Debit instructions automatically.
Cash Diary (entering incoming cash)
Direct Debit automation
Bank Reconciliation (automatic and manual)
Cash Allocations
Tenant Statements
Cash Reporting
Property Management
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Cloud Based Architecture
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Sales Ledger
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Purchase Ledger
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General Ledger
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Cash Management
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Document Management
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CRM (Customer Relationship Management)
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Reporting
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Permissions
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Custom Dashboards
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Bespoke Additions