Track Cash Flow. Close Months. Generate Investor-Ready Statements.

A lightweight TALL-stack tool to record transactions, manage categories & staff permissions, and produce monthly profit/loss, cash flow, and balance summaries.

Built with Laravel • Livewire/Volt • Tailwind • Alpine • Spatie Roles & Permissions
TZS 8.2M
Monthly Inflow
TZS 6.5M
Monthly Outflow
TZS 1.7M
Net Profit
Chart placeholder (Balance over time)

Features that keep you in control

Everything you need to manage money, teams, and month-end close.

Multi-Business

Create multiple businesses and switch context securely.

Staff & Permissions

Spatie-powered roles with post, view, and approve controls.

Categories

Universal revenue/expense categories for clean reporting.

Transactions & Items

Itemized entries with running balances and references.

Monthly Closing

Lock months, compute profit/loss, and store history.

Exports

Download Excel/PDF statements for investors and audits.

Why teams love it

For Owners

  • Real-time cash position
  • Month-end profit/loss
  • Investor-ready exports

For Accountants

  • Clean categories & approvals
  • Audit trail with references
  • Lock/reopen months safely

For Teams

  • Simple form flows
  • Role-based access
  • Clear responsibilities

How it works

STEP 1

Set up business & staff

Create a business, invite staff, and assign roles (post, view, approve).

STEP 2

Add categories & transactions

Record itemized revenue/expenses with references and running balance.

STEP 3

Close month & export

Close the month to lock totals and export statements for investors.

Contact us

Questions, partnerships, or demo requests — we’d love to hear from you.