📈 TRADEX Finance

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.

Receivables and PayablesCash and Working CapitalGST and e-InvoicingBudget and ProfitabilityReconciliation and PaymentsAnalytics and CFO Reporting

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.

01Receivables

Accounts Receivable

Control invoices, collections, allocations, disputes, ageing and customer balance evidence.

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02Payables

Accounts Payable

Govern supplier invoices, matching, approvals, due dates, payments and reconciliation.

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03Working capital

Working Capital Management

Connect receivables, inventory, payables and cash for controlled working-capital decisions.

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04Planning

Cash Flow Forecasting

Build versioned cash forecasts from balances, receipts, payments, commitments and scenarios.

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05Tax compliance

GST Automation

Support GST validation, calculation, reconciliation and return-preparation evidence.

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06Tax compliance

e-Invoicing

Prepare, validate, submit and retain Indian e-invoice evidence with controlled corrections.

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07Reporting

Financial Dashboard

Review reconciled revenue, margin, cash, working capital and finance exceptions.

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08Profitability

Profitability Analysis

Analyse governed profitability by customer, product, order, channel and territory.

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09Planning

Budget Management

Control budget preparation, approval, consumption, transfer and variance review.

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10Cost control

Cost Centre Accounting

Govern cost-centre structures, assignments, allocations and responsibility reporting.

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11Business intelligence

Business Intelligence Dashboard

Combine governed finance and operating measures with source drill-through.

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12Management reporting

MIS Reporting

Publish versioned management reports from reconciled operational and financial records.

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13Executive finance

CFO Dashboard

Give finance leadership a governed view of liquidity, profitability, risk and close status.

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14Measurement

Financial KPIs

Define, calculate and reconcile finance measures with consistent formulas and ownership.

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15AI-assisted finance

AI Finance

Support grounded finance explanations, exception triage and draft commentary under review.

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16Expense control

Expense Management

Control claims, receipts, policy checks, approvals, advances and reimbursements.

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17Reconciliation

Bank Reconciliation

Match bank statements with ledger transactions and manage differences through approval.

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18Payments

Payment Automation

Automate approved payment proposals, validation, authorisation and reconciliation.

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19Credit control

Credit Management

Govern customer credit policy, risk, limits, exposure, holds and overrides.

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20Analytics

Finance Analytics

Turn reconciled finance records into profitability, liquidity and performance analysis.

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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.

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