Real accounting, built into your POS.
Kira isn't a POS with a bookkeeping add-on. It's a full double-entry back office that grows with you, from your first ledger to your year-end statutory filing.
Everything your finance team needs
The depth you'd usually buy three separate tools for, in one ledger.
Books that keep themselves
Every sale, bill and payment posts to the general ledger automatically, with journals, trial balance and chart of accounts built in.
Reconciled, not re-keyed
Bank statement imports, matching rules, cheques and petty cash, so reconciliation is a review, not a re-typing marathon.
Tax-ready all year
SST-02 returns, CP204, Form C and Form B, CP37 withholding tax, bad-debt relief and capital allowances, all generated from clean data.
Know your true margin
Multi-branch inventory with FIFO or weighted-average cost, and stock takes that tie back to the ledger.
Get paid faster, chase less
AR and AP aging, customer and supplier statements, and automated dunning to keep cash flowing.
SSM-ready at year-end
Unified financial statements in MPERS format, with directors' report, notes and MBRS filing pack export.
Corporate secretarial, covered
Board resolutions, shareholding register, dividend declarations and statutory filing tracking, ready for your company secretary.
Bank-ready financing pack
Loan readiness scoring, multi-year cashflow projections and a lender-ready financing pack, generated from your live ledger.
One ledger from the counter to the close.
Cost centres, projects and budgets let you see which branch, product and project actually makes money, all on the same ledger your cashier is ringing sales into right now.
Ready to close your books without the chaos?
See how Kira gives a growing business a finance back office that scales.