Kechie Financial Management

Kechie’s Financial Management system is fully integrated with all other Kechie modules, including Sales, Supply Chain, and Inventory Management. This software provides the necessary tools to gather critical data, manage assets, and accurately report on an organization’s business's financial performance.

With a host of strong supporting features, Kechie offers a streamlined data integration process for an efficient implementation. Also, Kechie’s Financial Management module includes a flexible chart of accounts structure for detailed reporting and configured user authorization profiles. This control and business management tools system effortlessly streamlines and controls all aspects of an organization’s finances.


  • Profit & Invoice Tracking
  • General Ledger
  • Financial Reporting
  • Cash Management
  • Tax Management
  • Payment Management/Transaction
  • Audit
  • Accounts Payable
  • Accounts Receivable
  • Bill Management
  • Vendor Transactions
  • Financial Reports
  • Recurring Invoicing
  • Manual Invoicing
  • Bank Reconciliation
  • Deposit Management
  • Customer Payment/ Transaction
  • Inventory Valuation

Modules Included in This Package

Accounts Payable

Kechie ERP reduces manual tasks and human errors by automating all aspects of the AP.  Manage vendors, purchase orders, and payments for goods and services in the AP module. Kechie offers real-time tracking and visibility of payments, approvals, and reports

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Accounts Receivable

Kechie ERP helps companies optimize customer invoicing and payment processing by seamlessly integrating with the Sales Order module.  Invoice customer on the fly or at your leisure.  Get real-time customer transactions and aging reports.

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Cash Management

Kechie ERP enhances cash flow management and improves visibility into your business.  Easy bank reconciliation, quick reports with drill-down options for all transactions. Featuring fully integrated credit card payments processing.

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General Ledger

The Kechie General Ledger module documents detailed records of every transaction, edit, modification, and interaction with advanced reporting tools. Creates an audit trail of all transactions processed with real-time financial statements.

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