Double-Entry
Chart of Accounts, Balance Sheet, General Ledger, Trial Balance
Inventory
Manage stock, warehouses, groups, variants, adjustments, transfer orders
Projects
Organize tasks, work with teams, track the time, and deliver on milestones
Payroll
Create multiple pay calendars, and run payroll with print-ready payslips
CRM
Track every step of your customer journey, manage leads, pipelines
Expense Claims
Manage, review, and approve employee expenses on the go
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Estou utilizando a versão 2.0.11 instalado em meu servidor, porem não esta carregando as opções para instalação de app, nem os app instalados.
I'm getting 500 internal server error when I try to access https://app.akaunting.com/common/reports . Is there anything to do ?
Having a bit of difficulties with using it on the iPad using Safari or Chrome. When I login, the menu on the left does not fully collapse. When I click the button to collapse it, it only half-collaps...
Hello there! Just installed Akaunting (and love it so far!). I am wondering if it is possible and if it is hard to add and start using the Double-Entry module at a later date? We are a business ju...
Hi, I have just started using Akaunting cloud version. I have carried out my first bank reconciliation and marked all transactions as cleared and difference is zero but Reconcile button does not work...
It is too easy to break the app. By mistake I left in blank the color of my invoices design and now, I cant print my INVOICE or even get the screen to put a new color. Any suggestion here?... S...
Merhabalar, 2.0.11 sürümünde aşağıda ki özellikle tam olarak ne işe yaramaktadır bilgi vermeniz mümkün mü?
Hi, im new on this and cant find any information about installation on Synology NAS. There is any step by step guide ? or someone that could share his knowledge.
Steps to reproduce: 1. Add a new Payment 2. Add a PDF attachment to the payment 3. Save It saves fine. The Payments list shows the new payment. I confirmed on the web server that the attachmen...
I have a fresh install, added some transactions, and try to create a reconciliation. I get a 500 error that is because of this SQL error: SQLSTATE[HY000]: General error: 1525 Incorrect DATE value:...
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