Universal
Business
Income & Expense Accounting
- Learn how to create the financial plan for a startup business plan. Enter your investments, expenses and revenue forecasts and see the evolution of sales, earnings and liquidity. No special accounting knowledge is required, because it uses income and expense accounting.
- Start easily and FOR FREE the income/expense accounting of your Corporation and get immediately the Income Statement and the Balance Sheet. The income and expense system is also ideal for those with limited accounting knowledge. This ready-to-use generic template can be adapted according to your needs, to also manage the accounting of your company, sole proprietorship, partnership or small or medium business. Banana Accounting Plus is a professional software that is very intuitive and fast to use because it's similar to Excel. If you make mistakes you can always correct until everything is perfect.
- Ideal template to manage the accounting of a property or an apartment (real estate), simply entering the income and the expenses. The list of tenants are managed with a cost center.
- Yacht, Boats, Cruises Income & Expense Accounting Log Book with Budget and Cash PlanEasily start log your boat's income and expenses and know right away how much your boat costs and how much you spent on fuel, maintenance, food and all other categories. Link transactions with a digital receipt and get rid of paper. Prepare the budget and you also have cash forecast and comparisons. Easily present accurate reports to the shipowner.
Cash Manager
- Easily enter and categorize you expenses and create a PDF report with embedded receipts. A simple and effective solution for all expenses reporting needs for SME and non-profit. It's totally free for up 70 expense entries for reporting.
- Take a look at the template for managing income and expenses for hosts on Airbnb, Booking.com, Vrbo or similar hosting platform on Banana Accounting Plus Web. Click on the Open in browser button below, then click on Start Banana Accounting Web and wait for the template to load to get an immediate idea of how it works.
- Control future changes in your company's liquidity, reduce costs and optimize sales with the cash flow template. At a glance you have a realistic view, monthly or annual, to understand future sales volumes and whether the capital will be sufficient to cope with financial uncertainties.
- General template perfect to manage the accounting of a shop or a store, with the simple accounting method.
Accounting report
Fixed asset register
- The fixed assets register is an application included in Banana Accounting Plus, but it is separate from the accounting file. It allows for easy management of your fixed assets and quickly obtains all the values you need, as well as the automatic posting of depreciation at the end of the year.
Empresa
Contabilidad sencilla
- Gestión de presupuesto y contabilidad para yates, barcos y cruceros (ingresos y gastos)Empiece fácilmente a rastrear los ingresos y gastos de su barco y sepa de inmediato cuánto cuesta su barco, su crucero y cuánto gastó en combustible, mantenimiento, alimentos y todas las demás categorías. Vincula las transacciones con un recibo digital y deshazte del papel. Prepara el presupuesto e inmediatamente tendrás el pronóstico de efectivo y las comparaciones también. Presente informes precisos al armador.
Cash Manager
- Plantilla general perfecta para gestionar el libro de caja de una tienda o comercio.
Cash Manager con IVA
- Plantilla general perfecta para gestionar el libro de caja de un comercio o tienda. Incluye la gestión del IVA.
Universeel
Business
Boekhouding inkomsten & uitgaven
- Restaurant Management (Inkomsten & Uitgaven)Ideaal model om de boekhouding van een restaurant, een bar, een pizzeria of een afhaalrestaurant te beheren, eenvoudigweg met de Inkomsten en Uitgaven methode
Boekhouding inkomsten & uitgaven met BTW
- Model om een nieuwe bedrijfsactiviteit te beheren, volgens de inkomsten en uitgaven boekhouding, met financiële planning/budget.
Cash Manager
- Beheers toekomstige veranderingen in de liquiditeit van uw bedrijf, verlaag de kosten en optimaliseer de verkoop met het cashflow model. In één oogopslag heeft u een realistisch beeld, maandelijks of jaarlijks, waarmee u inzicht krijgt in de toekomstige verkoopvolumes en of het kapitaal voldoende is om de financiële onzekerheden het hoofd te bieden.
Register Aktiva
- Model met transactie-voorbeelden van afschrijfbare activa.
全球
公司
收益 & 费用核算
- 轻松地、免费地开始您公司的收益&费用核算,并立即获得损益表和资产负债表。收入和支出核算系统是专业会计知识有限用户的理想选择。可以根据您的具体需要对这个现成的模板进行编辑,用来管理您的公司、独资企业、合伙企业或中小型企业的会计。Banana财务会+ 是一个专业的软件,由于它类似于Excel,所以使用起来非常直观和快速。如果在做账中出现了错误,也可以随时纠正,直到获得完美的会计报表。
- 了解如何创建初创公司商业计划书内的财务计划。只需输入您的投资、支出和收入预测,即可看到销售、收益和流动资金的演变。无需专业的会计知识,即可轻松使用收益&费用核算。
- 管理资产或公寓(房地产)会计的理想模板,只需输入收入和费用即可。租户列表由成本中心管理。
现金日记账
- 使用现金账簿方法来完美管理商店或店铺的通用会计模板。
- 使用现金流量模板控制公司流动性的未来变化,降低成本并优化销售。您一眼就能看到每月或每年的实际情况,以了解未来的销售以及资金是否足以应付财务的不确定性。
现金日记账含增值税
- 使用现金账簿记账方法来完美管理商店或店铺的通用会计模板,并包括增值税管理。
Universel
Entreprise
Cash Manager
- Contrôlez l'évolution future des liquidités de votre entreprise, réduisez les coûts et optimisez les ventes grâce au modèle Cash Flow. En un coup d'œil, vous disposez d'une vue réaliste, mensuelle ou annuelle, pour comprendre les volumes de ventes futurs et savoir si le capital sera suffisant pour faire face aux incertitudes financières.
Registre des Actifs
- Modèles avec des exemples d'écritures des biens amortissables
Universale
Azienda
Cash Manager
- Inizia facilmente a gestire le finanze della tua azienda e ottieni subito il piano della liquidità. Il software, gratuito e simile a Excel, ti permetterà di creare il tuo budget al fine di ridurre i costi, ottimizzare le vendite e naturalmente verificare se avrai soldi a sufficienza per coprire le spese. Non occorre essere uno specialista, se sbagli qualcosa potrai sempre correggerlo.
Report contabile
Universell
Unternehmen
Cash Manager
- Haben Sie zukünftige Veränderungen der Liquidität Ihres Unternehmens unter Kontrolle, reduzieren Sie Kosten und optimieren Sie den Umsatz mit der Cashflow-Vorlage. Auf einen Blick haben Sie eine realistische Einschätzung, monatlich oder jährlich, damit Sie sofort wissen, wie hoch das zukünftige Umsatzvolumen sein wird und ob das Kapital ausreicht für Unvorhergesehenes.