Per-company isolation, granular role-based access, and a complete audit trail — so every number is controlled and every change is recorded.
Multi-tenant scoping keeps each company's data strictly separated from every other account.
Role-based permissions decide exactly what each team member can view, create, edit or cancel.
Every create, update and delete is logged with the user and a before/after snapshot.
Payment-gateway keys and secrets are encrypted at rest, and passwords are securely hashed.
Close accounting periods to prevent edits to historical, audited transactions.
Balanced double-entry is enforced, with guards against negative cash and bank balances, plus signature-verified payment webhooks.
Use the full accounting suite for free, with these safeguards built in from day one.