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Finance and invoicing engineered for the operational reality of complex enterprises.
General ledger, sub-ledgers, multi-currency, real-time invoicing and audit-grade journal traceability — with SII, TicketBAI, Verifactu, modelo 347 / 349 and B2B e-invoicing implemented at the engine level, not bolted on. The fiscal calendar is a feature, not a project.
Real-time fiscal compliance
SII, TicketBAI, Verifactu — built into the engine. Invoices are reported in real time as the law expects, not as a periodic batch routine that fails on the busiest day of the quarter.
Audit-grade journal traceability
Every accounting entry is reconstructable to its source transaction, with timestamps, user identity and approval chains preserved. The auditor opens a quarter by clicking a row.
Multi-currency, multi-entity
Group consolidations, intercompany flows, currency revaluation and elimination entries are handled by the engine, not by spreadsheets at month end.
Integrated with the operational stack
Procurement, sales, logistics — every operational module posts to the same ledger, in real time, under the same security perimeter. Period close is a query, not a project.
The six surfaces of Axional FI
Each surface has its own depth — pricing rules, reconciliation logic, reporting outputs. Each page below opens that depth.
General ledger
Multi-company GL with full sub-ledger traceability — AP, AR, fixed assets, cash, intercompany. Configurable account hierarchies and reporting structures.
Invoicing
Customer invoicing engine with line-level pricing, taxation, retentions and currency. Real-time reporting to SII / TicketBAI / Verifactu / SUNAT / DIAN. B2B e-invoicing for each market's channels.
Accounts receivable
Customer accounts, ageing analysis, credit limits, dunning, automated collections, statement generation, electronic remittance with Spanish and LATAM banking networks.
Accounts payable
Supplier accounts, three-way match against procurement and goods receipts, payment proposal workflows, automated payment-file generation, withholding tax handling.
Cash management
Bank reconciliation against electronic statements, cash forecasting, treasury operations, intercompany netting, multi-bank consolidation.
Fixed assets
Asset master, multiple depreciation methods, fiscal and accounting books in parallel, asset transfers, disposals, impairment, tax-vs-book reconciliation.
Spanish fiscal compliance, native to the engine
Most international ERPs treat Spanish fiscal compliance as a localisation add-on — purchased separately, maintained by a partner, updated on a different cadence than the core engine. The result is a layer of glue that fails on the busiest day of the fiscal calendar, when one regulation changes and the localisation has not yet been recompiled.
Axional treats Spanish fiscal compliance as part of the engine. SII, TicketBAI and Verifactu are not modules; they are behaviours the invoicing engine performs natively. When the regulation changes, the engine changes — by the engineers who wrote it — and the customer's deployments inherit it through the same release process as any other capability.