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What is Sezen Veresiye?

Sezen Veresiye is a desktop application focused on accounting and credit management, specifically designed for small businesses that use the Turkish language. This software allows users to keep track of customer debts (veresiye), manage their inventory (stock), and monitor cash flow through an integrated register (kasa) module. Its primary features include creating detailed customer profiles, tracking product availability, printing receipts, exporting data to Excel, and utilizing cloud backup via Firebase. Furthermore, the application provides customization options with support for both dark and light themes, along with a hardware-locked licensing system that enhances security measures. Developed with WPF (.NET) and SQLite, it guarantees quick and efficient offline performance on Windows, making it an excellent solution for small business owners in need of dependable financial management tools. Overall, Sezen Veresiye is not only a comprehensive application but also plays a crucial role in improving financial oversight and organization for its users. Its user-friendly interface and robust functionalities contribute significantly to the operational efficiency of small enterprises.

What is GnuCash?

GnuCash is crafted to be both intuitive and powerful, allowing individuals to oversee their bank accounts, investments, and various financial transactions, including income and spending. Its interface resembles a traditional checkbook register, ensuring adherence to professional accounting principles for precise reporting and well-balanced financial statements. The development, maintenance, documentation, and translation of this software rely solely on the commitment of passionate volunteers. We invite you to join in the effort to translate GnuCash into your preferred language using Weblate. Each transaction recorded necessitates a debit to one account and a corresponding credit to another for the same amount, which upholds the integrity of the financial records, ensuring that income minus expenses equates to total assets minus liabilities. In addition, GnuCash's checkbook-style register provides a user-friendly, customized method for entering financial transactions, thus simplifying the process further. By contributing your efforts, you can significantly enhance this essential tool for users around the globe, fostering a more inclusive financial management experience.

Media

Media

Integrations Supported

Additional information not provided

Integrations Supported

Additional information not provided

API Availability

Has API

API Availability

Has API

Pricing Information

$18
Free Trial Offered?
Free Version

Pricing Information

Free
Free Trial Offered?
Free Version

Supported Platforms

SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux

Supported Platforms

SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux

Customer Service / Support

Standard Support
24 Hour Support
Web-Based Support

Customer Service / Support

Standard Support
24 Hour Support
Web-Based Support

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Company Facts

Organization Name

Sezen Veresiye

Date Founded

2026

Company Location

Turkey

Company Website

sezenveresiye.com

Company Facts

Organization Name

GnuCash

Company Location

Argentina

Company Website

www.gnucash.org

Categories and Features

Accounting

Accounts Payable
Accounts Receivable
Bank Reconciliation
Billing & Invoicing
CPA Firms
Cash Management
Cryptocurrency Support
Expense Tracking
Fixed Asset Management
Fund Accounting
General Ledger
Government
Multi-Currency
Nonprofits
Payroll Management
Project Accounting
Purchase Orders
Tax Management

Categories and Features

Accounting

Accounts Payable
Accounts Receivable
Bank Reconciliation
Billing & Invoicing
CPA Firms
Cash Management
Cryptocurrency Support
Expense Tracking
Fixed Asset Management
Fund Accounting
General Ledger
Government
Multi-Currency
Nonprofits
Payroll Management
Project Accounting
Purchase Orders
Tax Management

Accounts Payable

Approval Process Control
Bank Reconciliation
Cash Management
Check Writing
Duplicate Payment Alert
Fraud Detection
General Ledger Entry
Vendor Management

Financial Reporting

"What If" Scenarios
Audit Trail
Balance Sheet
Cash Management
Consolidation / Roll-Up
Forecasting
General Ledger
Income Statements
Multi-Company
Multi-Department / Project
Profit / Loss Statement

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