NetFlows360 simplifies financial workflows, eliminates manual errors, and ensures total transparency—across dealerships, locations, and ledgers.
Configure bank details and financial schemes with ease—ensuring consistency across all dealers and branches.
Maintain GST and tax structures via master settings—minimizing errors and standardizing all tax-based transactions.
Track, confirm, and sync balances with accuracy—reducing financial disputes and improving partner trust.
Reconcile payments and outstanding dues automatically, so nothing slips through the cracks.
Create, manage, and track invoices across departments with role-based access and real-time visibility.
Unify your accounting data across locations with a connected platform that ensures accuracy, transparency, and control.
Yes. The masters can be set up which enable appropriate selection of banks and schemes at the time of invoice creation.
The Tax Master handles GST and regional tax structures, applying them automatically to relevant invoices.
Yes. NetFlows360 automates balance tracking and reconciliation—eliminating the need for manual calculations.
Absolutely. Role-based access ensures that each team member only sees the data relevant to their function or branch.
Yes. With centralized access, invoices can be tracked and reviewed by authorized teams in real time.