RAPHARISE FINANCE

Faithful stewardship. Confident decisions.

Bring bank statements, budgets, department funds, and reporting together in one accountable finance hub.

Vision

To make every church resource visible, understandable, and faithfully stewarded.

Mission

Turn daily financial records into clear information that leaders can trust and act on.

Objective

Strengthen accountability through accurate statements, budgets, fund tracking, and reports.

What's included
Overview

Income breakdown · Expenses breakdown · Balance & cash movement

Finance Summary

Reconcile church and department funds for each reporting month.

Department Reports

Track each department's opening balance, activity, and current balance.

Accounts

Manual bank accounts, balances, and transaction history.

Budget

Compare approved income and expense budgets with actual transactions.

Weekly Finance Report

Weekly cash count, summary, and leadership sign-off.

Bank Statements

Import bank statements and prepare entries for reconciliation.

Transactions

Search, categorize, split deposits, and review every entry.

Claims

Create, review, approve, and retain ministry expense claims.

Petty Cash

Track petty cash floats, advances, and reimbursements.

Payslips

Prepare monthly payslips and keep downloadable records by year.

Financial Reports

Coming next in this module.