Finance & Accounting Software

Finance & Accounting Software Synced to Operations

Zamyu Finance & Accounting Software helps finance teams review P&L, expenses, and settlements from the same operational activity sales and billing already captured.

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Capability overview

This capability covers how financial control work gets done: categorize spend, reconcile payments, close books views, and export when advisors need a package. It is powered by Accounting, Expenses, and Payments. Teams that benefit are controllers, accountants, and multi-location finance leads.

Teams that benefit: Controllers, accountants, and multi-location finance leads

Learn more on About or Contact Sales.

Capability challenges

  • Ops tools and accounting disagree at month-end close.
  • Expense receipts and approvals stall outside the books.
  • Payment settlements require manual matching to sales tickets.

How Zamyu solves it

  • Keep ledgers closer to live sales, billing, and expense activity.
  • Route expense approvals with receipts attached to the right records.
  • Reconcile settlements against operational payments.
  • Export packages when external review is still required.

Capability workflow

  1. Problem

    Finance rebuilds numbers that operations already recorded elsewhere.

  2. Process

    Capture activity → categorize → approve expenses → reconcile → report/export.

  3. Automation

    Operational transactions feed accounting views and settlement matching.

  4. Business result

    Improve financial visibility and reduce manual close rework.

Operational steps

  1. Capture
  2. Categorize
  3. Approve
  4. Reconcile
  5. Report

Business outcomes

  • Improve financial visibility across locations.
  • Reduce manual data entry between ops and accounting.
  • Speed up billing-to-cash recognition with clearer settlements.
  • Simplify compliance-ready exports for advisors.
  • Increase staff productivity during month-end close.
  • Automate reporting for P&L and expense reviews.

How operators use Finance & Accounting

A finance lead reviews location P&L using sales and expense activity already in Zamyu, then exports a package for the advisor—without retyping every invoice.

Pricing

Starter

₹2,499/month

For new businesses getting off the ground.

Professional

₹8,299/month

For growing teams that need more firepower.

Scale

Custom

For multi-location teams with complex operations.

Confirm packaging on a demo. Contact Sales for plan guidance.

FAQ

What is Zamyu Finance & Accounting Software?

It is the capability connecting Accounting, Expenses, and Payments so financial views reflect operational transactions.

Which teams benefit from this capability?

Finance and accounting teams that need fewer handoffs from sales, billing, and expense owners.

Can we still export for external accountants?

Yes. Exports remain available when filing or advisory packages are required.

Why not keep a standalone accounting tool only?

Standalone tools often start after ops work ends. This capability is designed to consume operational activity as it happens.

Ready to evaluate Finance & Accounting?

Review finance workflows with sales. Explore accounting products, or visit Support and About.