IFRS-Ready Accounting for the Modern Enterprise

AkauntingHub is more than an accounting system — it is an IFRS-compliant accounting engine designed to serve as the financial backbone for any industry. Through predefined business events, ledger entries are recorded automatically, so operational teams can focus on their domain while the GL stays accurate. Built with double-entry GL, AR/AP subledgers, inventory valuation, bank reconciliation, budgeting, and multi-currency support on a multi-tenant, schema-isolated architecture.

AkauntingHub Dashboard

A Complete Accounting Engine

Not just another accounting system. AkauntingHub serves as a pluggable financial engine — industry-specific business events automatically generate the correct ledger entries, so every module speaks the language of IFRS.

General Ledger & Journals

Full double-entry journal engine with draft/approve/post workflow, state machine transitions, multi-currency FX, and automated journal numbering.

General Ledger & Journals
Accounts Receivable

Accounts Receivable

Customer management, sales invoices, receipt allocation, and aging reports. Auto-posts GL entries (DR Receivable / CR Revenue) on invoice posting.

Accounts Payable

Vendor management, purchase bills, payment allocation, and aging reports. Auto-posts GL entries (DR Expense / CR Payable) on bill posting.

Accounts Payable
Inventory & Valuation

Inventory & Valuation

Multi-warehouse stock tracking with receipt, issue, transfer, and adjustment movements. FIFO/Weighted Average valuation with real-time GL integration.

Bank Reconciliation

Import bank transactions, auto-match with posted journals, and complete reconciliation sessions with balance validation.

Bank Reconciliation
Financial Reports

Financial Reports

Trial Balance, Income Statement, Balance Sheet, General Ledger, Aged AR/AP, and Inventory Valuation — all with CSV export and statement mapping.

Budget Management

Create per-fiscal-year budgets with account-level line items. Draft, approve, and lock workflows with variance tracking.

Budget Management
Fiscal Periods & Year-End

Fiscal Periods & Year-End

Manage fiscal periods with open/closed/locked states, DB-enforced no-overlap constraints, and automated year-end closing journals.

Role-Based Access Control

8 built-in roles, 105 granular permissions, and per-user allow/deny overrides. Every action gated by middleware-enforced permission checks.

Role-Based Access Control
Full Audit Trail

Full Audit Trail

Every transaction, approval, and state change is logged with actor, timestamp, IP address, and before/after snapshots for complete accountability.

Multi-Currency Support

Base currency locking, exchange rate management with inverse-pair fallback, and automatic FX rate population on journal entries.

Multi-Currency Support
IFRS Chart of Accounts

IFRS Chart of Accounts

Pre-built IFRS-SMB templates (General & Retail) with topological sorting, contra accounts, and one-click template application.

IFRS

Built for IFRS from the Ground Up

AkauntingHub is not a retrofit — IFRS compliance is embedded in every layer of the system, from the chart of accounts to financial statement generation.

View Full Compliance Overview
IFRS-Aligned Chart of Accounts
Accrual-Based Double Entry
Multi-Currency & FX Reporting
Fiscal Period Controls

Enterprise-Grade Architecture

A dual-application design that separates identity management from business operations, ensuring security and scalability at every layer.

Portal (Identity Provider)
  • Sole authentication provider — no password login in Console
  • User registration, login, and password management
  • Tenant/company registry and membership roles
  • Secure one-time session handoff with expiry and replay prevention
  • Demo mode with password-free role picker for reviewers
Console (Accounting Engine)
  • Full accounting operations scoped to tenant schema
  • GL, AR, AP, Inventory, Bank, Budget, and Reports modules
  • Per-tenant PostgreSQL schema isolation (not row-level filtering)
  • RBAC with 8 roles and 105 granular permissions
  • Independent audit trail with before/after snapshots

Security by Design

Every architectural decision prioritizes data isolation, replay prevention, and redirect safety.

One-Time Session Handoff

Session tokens expire in seconds, are consumed exactly once, and carry full IP/UA fingerprinting. consumed_at must be NULL and expires_at in the future.

Open Redirect Prevention

Return-to URLs are validated through signed-state tokens bound to the session. No static allowlists — every redirect is cryptographically bound.

Schema Isolation

Each tenant operates in a dedicated PostgreSQL schema. Cross-tenant access is impossible at the database connection level — not filtered, but physically separated.

Defense-in-Depth RBAC

Middleware validates every request against tenant context and user permissions. Jobs inherit tenant scope via CorrelationContext. Unauthorized access triggers 403 + forced logout.

Try It Yourself

Explore a fully-seeded demo environment with sample customers, vendors, invoices, bills, inventory, and posted journals. Pick a role and start exploring — no signup required.

8 roles available: Owner, Admin, Accountant, AP Clerk, AR Clerk, Manager, Auditor, Viewer

Launch Demo