


ChangJieTong T3 Standard Edition - Financial Introduction
Our company serves as the marketing service agency for Ufida Software and ChangJieTong Software in the Wuxi region, responsible for sales, implementation, and services in the area. We are committed to spreading information technology to our clients, creating social value and business success for them.
General LedgerCompany finance staff can achieve paperless daily financial operations with the general ledger system. System-assisted tasks include voucher entry, verification, ledger posting (including: general ledger, detailed ledger, journal entries, etc.), and closing accounts.
Process navigation settings, flexible voucher entry, verification, inquiry, accounting, and settlement processing; powerful auxiliary composite accounting functions, providing required information from multiple perspectives; supports departmental and individual assessment management requirements, establishing subject departmental and individual auxiliary ledgers for easy inquiry and analysis.
Communication Management:***Management of inter-unit payments to reduce bad debt losses, accelerate capital turnover, and ensure cash flow for the company. Aging analysis of accounts receivable to help the company collect payments promptly and prevent bad debts; automatic matching of inter-party transactions to enhance management efficiency and strengthen control over inter-party accounts.
Cash Bank:By controlling and managing cash and bank deposits, maintain real-time oversight of cash and bank deposit transactions and inventory cash balances, ensuring the security of cash and bank deposits. Regularly check the status of fund usage through the daily fund report.
Financial Statements:Pre-configured templates for various industries and national tax unified declaration forms, compatible with new accounting standards and customizable for individual reporting needs. An integrated reporting and general ledger system interface facilitates real-time data retrieval, enabling timely and accurate preparation of standard financial statements such as balance sheets, income statements, and cash flow statements, as well as customized corporate reports. Flexible and quick format design with a rich set of functions and formulas allows for the generation of various statistical reports for management purposes. Supports both standard and customized reporting and chart analysis features; graphical representation of reports enhances report aesthetics and aids decision-makers in gaining a more intuitive understanding of the company's operational status.
Tax Management SpecialistAutomatically extract financial data, generate VAT, advance income tax, consumption tax, and business tax declarations. Supports querying, comparison, statistics, and analysis of historical tax declarations. Presents tax change analysis, tax composition analysis, income change analysis, variance analysis, and tax burden trend analysis in various forms like pie charts, bar graphs, and curves, and generates a business performance analysis report.
CashierPro: Provides cash handling, daily banking operations, automatic data reconciliation, bank reconciliation statements, journal entries, and other financial statement inquiries for cashier personnel. It also supports check register management, automatically generates journal entries from check disbursement data, and helps businesses reflect changes in cash flow. Pre-set various bank check templates are supported for check printing; full-process supervision of the cashier's ledger; and automatic registration of check registers and journal entries.


