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What is Troika Accounting?

This advanced trust accounting software is specifically designed to efficiently manage the financial records of a wide array of entities such as trusts, estates, deputyships, corporations, partnerships, foundations, and funds. It streamlines the creation of trust accounts and provides thorough fund accounting documentation along with straightforward sub-fund accounting. By automating the management of recurring transactions, dividends, and price file imports, it significantly minimizes both time and effort required for financial oversight. The software also boasts customizable tax functionalities for Capital Gains Tax, VAT, and Income, as well as standard export options to aid in the completion of the SA900 forms. Furthermore, it integrates tools aimed at probate, estate management, and Court of Protection responsibilities, which enhances the handling of private client matters. Notably, it supports comprehensive foreign currency accounting, ensuring that all ledgers and balances are automatically recalibrated for precision. With capabilities accommodating multi-company, multi-funded, multi-currency, and multi-manager operations, this software is adept at serving a wide spectrum of accounting requirements across different industries. Its versatility and efficiency make it an indispensable tool for financial professionals managing diverse client portfolios.

What is Eleven?

Revolutionizing Advanced Accounting through Automation. This innovative platform streamlines tedious tasks, enabling professional accountants to concentrate on what truly matters: serving their clients. With features that support multiple currencies and companies, Eleven is designed for scalability, adept at handling large volumes of transactions. This capability empowers accountants to manage an increased number of clients effectively, thanks to several essential functionalities. Eleven facilitates real-time collaboration between clients and firms, allowing for swift responses to inquiries and seamless data and document sharing. By automating repetitive processes, it transforms documents into transactions, freeing accountants to prioritize high-value tasks and oversee their financial dealings. Users can easily upload batches of documents for automatic data extraction, which is sorted by journals and fiscal years. Moreover, even when conducting manual transactions, time savings can be realized by utilizing templates for journal or analytical entries, further enhancing efficiency. Consequently, this comprehensive platform not only improves productivity but also elevates the quality of client interactions.

Media

Media

Integrations Supported

Additional information not provided

Integrations Supported

Additional information not provided

API Availability

API Availability

Has API

Pricing Information

Pricing not provided

Pricing Information

Pricing not provided

Supported Platforms

SaaS
Windows

Supported Platforms

SaaS

Customer Service / Support

Standard Support
Web-Based Support

Customer Service / Support

Standard Support

Training Options

Documentation Hub
On-Site Training

Training Options

Webinars
Online Training

Company Facts

Organization Name

thewealthworks

Date Founded

1995

Company Location

United Kingdom

Company Website

thewealthworks.com/troika-trust-accounting/

Company Facts

Organization Name

RunEleven

Date Founded

2018

Company Location

Singapore

Company Website

www.runeleven.com

Categories and Features

Trust Accounting

Not specified

Categories and Features

Accounting

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

Accounting Practice Management

Billing & Invoicing
Client Management
Document Management
Due Date Tracking
For CPA Firms

Billing and Invoicing

Invoice History
Multi-Currency
Online Invoicing
Online Payments
Payment Processing

ERP

Accounting Integration
Accounting Management
Dashboard
Financial Management
Reporting/Analytics

Real Estate Accounting

Accounts Payable
Accounts Receivable
Bank Reconciliation
General Ledger
Reporting / Analytics

Trust Accounting

Accrual Accounting
Asset Gain & Loss Reporting
Cross Ledger Posting
Customer Statements
Receipt Management

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