Increase budget control and eliminate duplicate entry of purchase order information.
Projected & Multiple Budgets
Multiple budget versions with line items detail, forecasting ability, and attachments.
Process for reconciling multiple bank statements to GL account balances.
Account Activity & Reporting
Ability to drilldown for sources document detail from GL reports.
FundView General Ledger provides a true fund-based accounting solution to manage the operations of your organization. Standard features include integrated budget management, simplified reporting, cash management and support of consolidated cash.
FundView General Ledger is a web-based solution that is the core of your organization’s financial operations. Easily manage your budget process, consolidated cash and reporting requirements using software written specifically to support the fund-accounting requirements of local governments.
True fund-based accounting with fiscal year defined by fund
Consolidated cash with automated interfund entries
Journal entry templates with allocation; automated reversals
Drill-down to source entries with complete audit trail for all transactions
Integrated budgeting tools with built-in distribution/roll-up and modeling
Cash management for multiple bank accounts and consolidated cash equity
5225 S.Loop 289
Lubbock, Tx 79424
Cloud solutions to power your local government. FundView solutions are an elegant, easy-to-use suite of products that will streamline your processes, simplify your workload and meet the needs of your citizens.