TradeX Finance Software for Connected Financial Operations
Connect receivables, payables, cash, tax, budgeting, profitability, reconciliation, reporting and finance analytics in governed workflows. Every page below explains the operating records, controls, measures and implementation evidence to validate.
Explore All TradeX Finance Pages
Choose the workflow or decision area you need to evaluate. Each page includes practical capabilities, roles, implementation steps, measures, controls, glossary definitions and FAQs.
Accounts Receivable
Control invoices, collections, allocations, disputes, ageing and customer balance evidence.
Explore page → 02PayablesAccounts Payable
Govern supplier invoices, matching, approvals, due dates, payments and reconciliation.
Explore page → 03Working capitalWorking Capital Management
Connect receivables, inventory, payables and cash for controlled working-capital decisions.
Explore page → 04PlanningCash Flow Forecasting
Build versioned cash forecasts from balances, receipts, payments, commitments and scenarios.
Explore page → 05Tax complianceGST Automation
Support GST validation, calculation, reconciliation and return-preparation evidence.
Explore page → 06Tax compliancee-Invoicing
Prepare, validate, submit and retain Indian e-invoice evidence with controlled corrections.
Explore page → 07ReportingFinancial Dashboard
Review reconciled revenue, margin, cash, working capital and finance exceptions.
Explore page → 08ProfitabilityProfitability Analysis
Analyse governed profitability by customer, product, order, channel and territory.
Explore page → 09PlanningBudget Management
Control budget preparation, approval, consumption, transfer and variance review.
Explore page → 10Cost controlCost Centre Accounting
Govern cost-centre structures, assignments, allocations and responsibility reporting.
Explore page → 11Business intelligenceBusiness Intelligence Dashboard
Combine governed finance and operating measures with source drill-through.
Explore page → 12Management reportingMIS Reporting
Publish versioned management reports from reconciled operational and financial records.
Explore page → 13Executive financeCFO Dashboard
Give finance leadership a governed view of liquidity, profitability, risk and close status.
Explore page → 14MeasurementFinancial KPIs
Define, calculate and reconcile finance measures with consistent formulas and ownership.
Explore page → 15AI-assisted financeAI Finance
Support grounded finance explanations, exception triage and draft commentary under review.
Explore page → 16Expense controlExpense Management
Control claims, receipts, policy checks, approvals, advances and reimbursements.
Explore page → 17ReconciliationBank Reconciliation
Match bank statements with ledger transactions and manage differences through approval.
Explore page → 18PaymentsPayment Automation
Automate approved payment proposals, validation, authorisation and reconciliation.
Explore page → 19Credit controlCredit Management
Govern customer credit policy, risk, limits, exposure, holds and overrides.
Explore page → 20AnalyticsFinance Analytics
Turn reconciled finance records into profitability, liquidity and performance analysis.
Explore page →Review TradeX Finance with Your Business Scenarios
Bring representative invoice, collection, payment, tax, cash, budget, reconciliation and reporting cases. Quantbit will map the data, roles, exceptions, controls and pilot evidence.