Our software is built based on feedback from our clients to guarantee ease-of-use and functionality.
Enables importing existing data from various software vendors such as Vanguard and Sidwell Schneider.
Base package containing parcel information such as ownership, valuations, and multiple tax credit application requirements for the county.
Enables updating both Assessor and Auditor real estate files for real estate transfers, property splits, or property consolidation.
Maintain the county's general ledger based on the Iowa Chart of Accounts and the GAAP standards.
Easily create annual financial reports to publish to the Iowa Department of Management
Create, manage, and maintain budgets for each fiscal year with advanced reporting and documentation.
Easily issue claims for improvements and repairs with a drainage district.
Process assessment notices, waiver payments, and other requirements of drainage districts.
Manage inventory and account for depreciation of assets.
Create, manage, and maintain employee records, issue paychecks with ease, and generate quarterly reports and end of year tax forms.
Maintain parcel information including ownership, valuations, and multiple tax credit applications.
Document approval, contract management, change controls, and more.
Version control, paper imaging, reporting, security, and more.
Integrations into Microsoft Windows, Solutions Software Products and Services, Adobe Acrobat, and more.
Track DOT assets with comprehensive bookkeeping, and manage claims and payroll.
Track and compare expenses for equipment and roads as well as calculate depreciation of assets.
Manage parts, materials, and other asset inventory with easily generated reports.
Manage recorder documents within the county including indexing of instruments, cashiering system, accounts receivable, and Document Locator integration.
Index and retrieve vital records such as birth, marriage, and death certificates.
Track revenue, receipts, credit, and taxes with daily balancing and instant reporting.
Track deposits, withdrawals, and investments in conjunction with the general ledger.
Collect and generate waivered drainage receipts from the Auditor's office.
Generate tax receipts required for various special assessments and taxes.