Content via CMS (data), bilingual /id /en, visuals show real output — not generic icons.
COA tree per Company, real-time balance journal, ledger running balance, 5 statements (BS/IS/SCE/CF/CALk) EN/ID with drill-down. Unrealized → realized on payment.
Products per Company, warehouses per Branch → zone → bin. FIFO auto-picking, default bin putaway, STO with in-transit bucket.
Contacts + NPWP. Kanban New→Contacted→Qualified→Lost.
Branch→Company price resolver, Quotation→SO→Invoice (rate stored, PDF EN/ID)→Payment→VAT journal.
Inbox, goods receipt, auto vendor bill with consistent FX. Stock only on confirm.
Honest plans, proration, explicit downgrade-block, bilingual invoices + retry, tokenization only.