Platform overview
Accounting built for multi-entity commerce

Financial Management

Full-suite accounting, tax compliance, and financial reporting designed for businesses operating across multiple entities, currencies, and geographies.

Features

What Financial Management includes

Multi-Entity Accounting

Manage separate books for each entity with consolidated group reporting and inter-company transactions.

Automated Reconciliation

Bank feeds, POS settlement matching, and supplier invoice reconciliation — powered by AI.

Tax Compliance

Built-in GST, VAT, and sales tax engines with automatic filing preparation for India, UK, and UAE.

Budgeting & Forecasting

Create budgets by department, location, or project. Compare actuals vs. forecast in real time.

Accounts Payable

Invoice processing, approval workflows, payment scheduling, and early-payment discount tracking.

Financial Reporting

P&L, balance sheet, cash flow, and custom reports with drill-down to transaction level.

Benefits

Why choose this solution

Eliminate manual reconciliation
Multi-country tax compliance
Real-time financial visibility
Automated month-end close
Audit-ready reporting
Integrated with all CW Suite modules
Industries

Built for these industries

Food ProductionDistributionRetail & E-commerceRestaurant & QSR
See it on your data

A guided walkthrough,
tailored to your operation.

30 minutes with a CW solution architect. We'll map your current stack, run live data through CW Core, and put a number on the consolidation savings.

What you get
Encrypted at rest & in transit
Enterprise SSO & SAML
Region-pinned data residency
24/7 white-glove migration
No commitment · Personalized walkthrough