Included in every plan
Finance
Full accounts for a lending business, kept by the same system that makes the loans — so the books tie up with the loan book every day.

How it works
What’s in Finance
Journals
Every payout, fee and payment posted as a journal entry.
Income statement
Income and expenses for any period.
Balance sheet
Your loan book, cash and liabilities on any date.
Cash flow
Where the money came from and where it went.
Trial balance and reconciliations
Balances that tie up, and bank reconciliations.
Profitability and expenses
Profit by branch and product, and your running costs.
Works with the rest of VulaCheck
Payouts from Lending and payments from Recoveries post themselves — nothing is typed twice.
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Compliance and admin
NCR documents, SACRRA, audit log, staff and branches.