The user will perform the different accounting operations described under the module's accounting menu. The journal entries will be analyzed and double-checked. On the platform, there is a list of the different kinds of ledgers that are available, as well as the operations for each. Furthermore, from the respective windows, various management activities such as asset management, transfers, and revenue management could be carried out. Furthermore, various applicational actions like reconciliation and lock dates on different accounting aspects can be developed and worked on.