Average Ratings 0 Ratings
Average Ratings 0 Ratings
Description
Double is an accounting automation and month-end close management platform that helps accounting professionals streamline bookkeeping workflows, automate financial processes, and manage client collaboration through AI-powered tools and integrated accounting workflows. The platform enables accounting firms and finance teams to manage close operations, reconcile transactions, generate journal entries, handle receipts and accruals, process 1099s, and coordinate accounting tasks from a single platform connected directly to financial ledgers and ERP systems. Double supports integrations with QuickBooks Online, Xero, Sage, and NetSuite, allowing teams to work directly with live accounting data while automating repetitive manual processes through AI-driven workflows. The platform also includes client and practice management tools such as inbox management, client portals, task tracking, file reviews, reports, and communication workflows that improve visibility and collaboration throughout the accounting close process. Businesses use Double to reduce close times, automate bookkeeping operations, eliminate fragmented workflows, improve accounting accuracy, and centralize month-end accounting management within one integrated platform.
Description
distrib-u-tec serves as a comprehensive ERP accounting solution, enabling seamless access to information from various open protocol applications. This system is designed for efficient data management, allowing for single-entry data input, which subsequently becomes accessible throughout the integrated components of the platform. Real-time updates ensure that sub-ledger information, such as account balances and product availability, is always current. The software reduces the burden of month-end or cut-off tasks, facilitating the posting of entries to any period within the current fiscal year while providing users with control over period closures. All data is stored within a transaction table, making it easy to audit by various criteria such as batch, source, date, and control numbers. A complete audit trail for both GL and inventory transactions is consistently maintained, ensuring transparency. Users can explore every detail of transactions without any hidden information, guaranteeing clarity and comprehensive insight into the underlying data. Additionally, this system enhances operational efficiency by streamlining processes and minimizing administrative overhead.
API Access
Has API
API Access
Has API
Integrations
Devolutions Remote Desktop Manager
Fleet
Indent
Motileo
Nango
Nekton.ai
SurePassID
Integrations
Devolutions Remote Desktop Manager
Fleet
Indent
Motileo
Nango
Nekton.ai
SurePassID
Pricing Details
$10/month/client
Free Trial
Free Version
Pricing Details
No price information available.
Free Trial
Free Version
Deployment
Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook
Deployment
Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook
Customer Support
Business Hours
Live Rep (24/7)
Online Support
Customer Support
Business Hours
Live Rep (24/7)
Online Support
Types of Training
Training Docs
Webinars
Live Training (Online)
In Person
Types of Training
Training Docs
Webinars
Live Training (Online)
In Person
Vendor Details
Company Name
Double
Founded
2020
Country
United States
Website
doublehq.com
Vendor Details
Company Name
InterSect Business Systems
Founded
1996
Country
Canada
Website
www.distrib-u-tec.com
Product 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
Accounting Practice Management
Approval Workflow
Billing & Invoicing
Client Management
Client Portal
Document Management
Due Date Tracking
For CPA Firms
Project Management
Staff Management
Time Tracking
Bookkeeping
Accounts Payable
Accounts Receivable
Bank Reconciliation
Billing & Invoicing
Cash Management
Collections
Expense Tracking
Fixed Asset Management
General Ledger
Payroll
Revenue Recognition
Spend Management
Tax Management
Product Features
Food Service Distribution
Costing
Customer Management
Import / Export Management
Inventory Management
Lot Tracking
Order Management
Picking & Routing
Purchasing
Quotes / Estimates
Traceability
Vendor Management
Warehouse Management