AccountingIQFinancial control that starts with real operations
Connect journals, VAT, receivables, payables, bank activity, reconciliation, reporting, and month-end control to daily work.
- Cleaner financial truth
- Better month-end confidence
- Stronger auditability
Why it matters
Finance receives an auditable operating trail instead of a disconnected month-end handoff.
FlowIQ keeps this workflow connected to the records, permissions, source documents, and downstream modules that give it operational meaning.
Capability
What AccountingIQ gives your team.
VAT, receivables, and payables
Bank and reconciliation workflows
Financial statements and close control
The operating flow
A clear path from signal to controlled outcome.
Finance receives an auditable operating trail instead of a disconnected month-end handoff. The workflow stays understandable for the person doing the work and reviewable for the person accountable for the result.
- 01Receive operational postingsContext and ownership stay visible before the next step.
- 02Review and reconcileContext and ownership stay visible before the next step.
- 03Close with visible exceptionsContext and ownership stay visible before the next step.
- 04Report from one ledgerThe approved result remains connected to its source and history.

Connected by design
AccountingIQ does not live in another silo.
Connect journals, VAT, receivables, payables, bank activity, reconciliation, reporting, and month-end control to daily work. The same organization, user permissions, and operating records travel through the wider FlowIQ suite.
Works better together
Continue the operating story.
See the workflow with your team in mind
Build a practical FlowIQ rollout around the work you want to improve first.
We will map AccountingIQ into the modules, data, and approvals your operation already relies on.