Hitaji 360 is multi-business: each business you run keeps its own isolated set of accounts and transactions in its own accounting book. Before you record anything, make sure the correct business is selected in the business switcher at the top of the app.
📷 Screenshots are added in a later pass. For now each page names the exact route
(e.g. /accounting/invoices) and the on-screen buttons to click.
Getting Started
- Overview & setup checklist
- Accessing accounting, businesses & roles
- Chart of Accounts
- Opening Balances
- Number Series
- Import a Chart of Accounts (Import Wizard)
- Quick Search & Quick Create
Basics
Masters
Transactions
Sales Purchases & Spending Money Movement Manual & Repeating EntriesBudgeting
Financial Reports
- Reports Overview
- Trial Balance
- General Ledger
- Balance Sheet
- Profit & Loss Statement
- Cash Flow
- Aged Receivables & Payables
- Cost-Center P&L
Periods & Compliance
Settings
Approvals & Workflows
Expenses, invoices, bills, budgets and journal entries all move through an approval workflow (Draft → PendingApproval → Approved). Who has to sign off — and above what amount — is configured organisation-wide, not per accounting screen:Looking for engineering internals instead? See the Developer Guide.