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Leja Accounting

LEJA ACCOUNTING

Books that stay current and a close that stays predictable

Ledgers, reconciliation and reporting in one place, fed automatically by your billing and payroll activity. You see the position as it stands, not as it stood at the last catch-up.

CAPTUREDEntriesfrom billing and payrollMATCHEDReconciliationbank lines clearedCHECKEDReviewexceptions workedCLOSEDPeriod closethe month is lockedREPORTEDStatementsP&L, balance sheet, GSTEvery figure stays traceable back to the document that created it.

How it works, end to end.

CORE CAPABILITIES

What Leja Accounting covers

Chart of accounts

A structure that fits how your business actually reports, set up once and reused.

Journals and ledgers

Every entry traceable back to the document and the person who raised it.

Receipts and payments

Money in and money out recorded against the right account and period.

Bank reconciliation

Match statement lines to entries and see what is still unexplained.

Receivables and payables

What you are owed and what you owe, aged and current on the same screen.

Statements and audit trail

Trial balance, P&L and balance sheet, each drillable to the underlying entry.

CONNECTED BY DESIGN

What Leja Accounting shares information with

Accounting is fed by billing and payroll rather than by re-entry, and hands period balances to compliance and reporting.

Leja Accountingledgers · reconciliation · reportsLeja Billinginvoices and paymentsLeja Payrollwages and liabilitiesLeja ComplianceGST/VAT preparationStatementsP&L and balance sheetsales postingspayroll postingsperiod balancesreportingArrows show the direction information travels.

How Leja Accounting sits in the lejaHQ platform.

INSIDE THE PRODUCT

Real screens from Leja Accounting

The Leja accounting command centre showing bank and cash, accounts receivable and payable and net GST/VAT balances, items needing attention, budget against actual, and a close and compliance checklist.

Accounting command centre

BUSINESS BENEFITS

What changes day to day

DAILYEntries landfrom billing and payrollWEEKLYReconcilebank lines matchedMONTHLYCloseexceptions clearedPERIOD ENDReportstatements and GST/VATThe same records carry through every cadence – nothing is re-entered.

Where the work actually lands.

Postings arrive on their own

Postings arrive from the modules that created them.

Know the position today

Cash, receivables and payables are current rather than reconstructed.

Trace any figure to source

An audit trail from statement line back to source document.

Close on known numbers

Reporting periods close on a known set of figures.

Plan availability

Included in Business Premium and Enterprise. Every module is available during the 15-day trial.

See Leja Accounting in your own business

Start a 15-day trial with every module included, or talk to our team about how this fits your operation.