Complete Financial Control
Eliminate manual GL entries and reconciliation headaches with automated accounting integration
Automated GL Entry Posting
Automatic debit/credit entries on GRN approval. Complete CWIP tracking with capitalization workflows.
CWIP Accounting
Capital Work in Progress tracking before asset activation. Automatic GL entries with transaction safety.
Depreciation Management
Automatic depreciation calculation (SLM, WDV methods). Real-time asset value tracking for financial statements.
FAR Reconciliation
Multi-criteria matching between books and physical assets. Automated discrepancy detection and alerts.
Financial Compliance
Complete audit trails for all GL entries. Duplicate prevention with 3x retry logic and transaction rollback.
Real-Time Financial Dashboards
Redis-cached metrics for instant analytics. Asset value tracking, depreciation schedules, and FAR status.
Why Finance Teams Choose AssetX
- Eliminate manual GL entry errors with automatic debit/credit posting on GRN approval
- Real-time FAR reconciliation with instant discrepancy alerts
- Complete CWIP tracking with capitalization workflows
- Audit-ready documentation with comprehensive transaction logs
