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emedAyushemedAyush
Pharmacy & Finance

The books, branch by branch.

Run accounts, receivables, payables, and branch-level financials with cost centres, tax, and a clear audit history.

app.emedayush — Finance & Accounting
Group Analytics
All branches · Last 30 days
This month ▾
Revenue
₹—
▲ leakage flagged
Appointments
—
● conversion
Packages active
—
● Panchakarma
Revenue by branch
OPD Panchakarma
The problem

Reconciling revenue across counters and branches by hand makes month-end slow and error-prone.

Branch accounting

Financials per branch and cost centre.

Receivables & payables

Know what's owed and what's due.

Faster close

Bank reconciliation and reports built in.

Capabilities

What it does — and why it matters.

Chart of accounts & journals

A proper accounting backbone.

Receivables & payables

Cash coming in and going out, tracked.

Branch accounting & cost centres

See performance by branch and centre.

Bank reconciliation & tax reports

Faster, cleaner month-end.

How it works

A connected workflow.

  1. 1Post transactions
  2. 2Reconcile bank
  3. 3Track receivables/payables
  4. 4Close period
  5. 5Financial & tax reports
For your team

Who benefits, and how.

Accountant

A faster, auditable close.

Owner

Branch-level financial clarity.

Reports it powers

  • P&L
  • Balance sheet
  • Cash flow
  • Branch & cost-centre reports
  • Tax

Integrations

  • Billing
  • Purchase
  • Accounting software

Security & permissions

  • Role-based and branch-level access control
  • Full audit trail on every create, edit, and delete
  • Encryption in transit and at rest
  • Consent and session management

* Availability confirmed per deployment.

FAQ

Finance & Accounting — questions, answered.

Does it support multi-branch accounting?

Yes — financials can be tracked per branch and cost centre, then consolidated for the group.

See Finance & Accounting on your workflow.

Book a personalized demo and get a free implementation assessment for your facility.

Book a Demo