The Backbone of
Nigella ERP
The Accounting & Finance Module is the backbone of Nigella ERP, providing a centralized system for managing all financial operations - from journal entries and ledgers to reporting, approvals, and compliance.
Designed for businesses, NGOs, and institutions of all sizes, this module ensures accuracy, transparency, and accountability across every financial transaction. Whether handling day-to-day bookkeeping or multi-project consolidated accounts, Nigella makes it seamless and efficient.
Seamlessly integrated with Inventory, HR, Payroll, and Project modules - your financial data is always accurate, current, and actionable.
General Ledger
AP / AR Management
Live Dashboards
Full ERP Integration
Built for Modern Business
Powerful technology stack designed for scalability, security, and seamless integration.
100% Web-Based
Accessible from any device, anywhere
Cloud-Hosted
Transitioning to SaaS soon
ASP.NET Core
Modern SQL-based architecture
API-Ready
Integration with QuickBooks, banks, tax portals
Role-Based Security
Detailed audit trails and access control
Multi-Company Support
Multi-branch and multi-entity ready
Everything Your Finance
Team Needs
A complete suite of accounting tools - from daily transactions to strategic reporting.
Project Reporting
Maintain a separate Chart of Accounts (COA) for each project. Get detailed project-specific financial insights without affecting overall accounts.
Multi-Layer COA & Segmentation
Create multi-layer COAs with unlimited hierarchy. Use segments and sub-segments for granular reporting. Create the same account in multiple projects from a single screen.
Voucher & Transaction Enhancements
Add attachments to any voucher or business partner. Include notes, reminders, and tasks directly on transactions. Assign transactions for approval workflows.
Expense & Inter-Project Management
Manage accrued expenses accurately. Record and track inter-project transactions seamlessly.
Enhanced Financial Reporting
Generate complete financial statements, including advanced reports like the 6-column trial balance. Drill down from reports directly to base transactions for full auditability.
On-the-Fly Additions
Add any account, business partner (vendor, customer, supplier), or segment directly from the voucher screen - no need to navigate elsewhere.
From Entry to
Audit-Ready Reports
A controlled workflow ensuring every transaction is validated, approved, posted, and reported - with full transparency.
Transaction Entry
Record all financial transactions - journals, invoices, payments - through structured entry forms with built-in validation.
Approval Workflows
Route transactions through configurable approval chains before posting to ensure accountability and control.
Ledger Posting
Approved entries are automatically posted to the general ledger, updating balances and sub-ledgers in real time.
Bank Reconciliation
Match posted transactions with bank statements automatically to maintain accurate, reconciled records.
Financial Reporting
Generate P&L, balance sheets, cash flow statements, and custom reports - instantly, on demand.
Built for Every
Financial Operation
From startups to enterprises, our accounting solution adapts and scales with your business.
Because your finances deserve more than
spreadsheets.
Nigella's Accounting & Finance Module brings everything together - speed, control, compliance, and clarity - all on one unified ERP platform.
Nigella ERP - The Cure for Business Inefficiency.
