Module

General Ledgers

Complete financial overview and reporting. Bank reconciliation, financial statements, and GST management in one comprehensive module.

Key Benefits

Complete financial visibility and control for your MCST

Easy Migration

Import chart of accounts and trial balances from your previous MA seamlessly

Quick transition with minimal disruption

Complete Reporting

Income & Expenditure, Balance Sheet, Trial Balance, and General Ledgers

All financial reports in one place

Bank Reconciliation

Reconcile bank deposits and payments against monthly statements with ease

Accurate financial records every time

Complete Feature Set

Everything you need for general ledger management

📊

Easy Migration of Trial Balance

Your previous MA will provide you the trial balance as at the date they last finish their accounts. We have ready tools to migrate the chart of accounts and trial balances over to Realtimme Cloud easily

📈

General Ledgers

Income & Expenditure Statement, Balance Sheet, Trial Balances, general ledgers,

General Ledger screenshot

General Ledger screenshot

Balance Sheet Screenshot

Balance Sheet Screenshot

Income & Expenditure Screenshot

Income & Expenditure Screenshot

🏦

Bank Reconciliation

Reconcile your bank-in (s) and payment against the monthly bank statement.

Screenshots

Click to view full size

📄

Income & Expenditure and Balance Sheet

Customised to the MCST presentation, with separate Management Fund and Sinking Fund balance b/f.

Screenshot

Screenshot

Monthly I&E comparisons

Monthly I&E comparisons

📅

Tasks and Reminders

Assign tasks and reminders to yourself or your users for important due dates or renewal of insurance, certificates, licenses.

Calendar screenshot

Calendar screenshot

Desktop reminder screenshot

Desktop reminder screenshot

📋

GST Form 5 Report

Record your output tax in your accounts receivables and input tax in your accounts payables. Auto-generate Form 5 GST report for you to submit your GST online.

Financial Reports Available

Comprehensive reporting suite for complete financial transparency

Income & Expenditure Statement

Detailed income and expenditure by account with Management Fund and Sinking Fund separation

Balance Sheet

Assets, liabilities, and fund balances presented in MCST-compliant format

Trial Balance

Complete trial balance with debit and credit totals for verification

General Ledgers

Detailed transaction listing by account with running balances

Monthly Comparisons

Month-over-month and year-over-year comparisons for trend analysis

GST Form 5

Auto-generated GST Form 5 report ready for IRAS submission

Why This Module Matters

Accuracy & Compliance

  • MCST-compliant financial statements
  • Automated GST Form 5 generation
  • Complete audit trail

Efficiency & Control

  • Real-time financial updates
  • Automated bank reconciliation
  • Task reminders for deadlines

Ready for Better Financial Management?

Contact us to learn how REALTIMME can streamline your general ledger management

Chat with us on WhatsApp