Skip to main content Operate Journal → General Ledger → Financial statements (CF/PL/BS) on Sanka’s accounting stack, giving teams real-time access across entities and departments.
Value highlights
All accounts, journals, closing in one place : Every journal posts in real time, consolidating subsidiaries and departments.
Cash flow visibility and simulation : Combine inflows/outflows with bank balances to see cash positions and forecast liquidity.
Balance sheet management : Link sales, inventory, and procurement data so frontline teams can act on balance sheet KPIs.
Sanka setup essentials
Standardize on Journal Entry plus a chart of accounts with sub-accounts, department, and project dimensions.
Align transaction objects (Sales/Procurement/Expense/Payment) to the same accounting properties for CSV/API export.
Manage closing with period statuses and lock dates to prevent post-close edits.
Operating steps
Master design : Define accounts, sub-accounts, departments, and projects; apply them to transaction objects.
Journal creation : Auto-generate entries from orders/invoices/payments/procurement/expenses; handle fees or differences with adjustment lines.
GL & trial balance : Aggregate journals into the ledger and review balances by period/department/project.
Financial statements : Template PL/BS/CF and keep them live; lock periods at close.
Cash planning : Merge expected inflow/outflow with bank balances to monitor weekly/monthly cash positions.
Automation ideas
Workflow actions : When closing starts, lock edits on related objects except for approved exceptions.
Record actions : Alert on abnormal balances (for example, negative inventory or unmatched postings).
Object actions : On bank import, generate journal candidates and queue them for review.
Reporting and oversight
Dashboards for department PL, cash flow statements, and balance sheets.
Year-over-year and month-over-month variance widgets for leadership reviews.