Books that close without a week of chasing.

Nimikh builds custom accounting software in Bangladesh for small and medium businesses — general ledger, receivables and payables, invoicing, expense recording, bKash and Nagad reconciliation, and cash flow reporting that reflects today rather than last month.

What is accounting software?

Accounting software records the financial transactions of a business in a structured ledger and produces the reports derived from it: receivables, payables, cash position, profit and loss. Custom accounting software differs from packaged products in that its chart of accounts, approval rules and reporting formats are built around one business's existing practice rather than a standard template.

Nimikh builds this as bespoke software from Dhaka, Bangladesh — fixed scope, fixed price, full source code and ownership transferred to you on completion.

Diagram: every stock movement writes to one auditable ledger producing a single live balanceOn hand1,482every movement, attributed

Built for these businesses.

SMEs whose accounts live in spreadsheetsBusinesses with heavy receivables to chaseMulti-branch operations consolidating accountsDistributors managing supplier creditService firms invoicing per project

The modules we build.

Every project is scoped to what you actually need. Nothing here is mandatory — the proposal lists exactly what is in your build and what it costs.

General ledger

A chart of accounts matching how your accountant already classifies transactions.

Receivables

Who owes what, since when, with ageing visible instead of reconstructed.

Payables

Supplier balances and due dates, so payment is scheduled rather than remembered.

Invoicing

Invoices generated from real orders, numbered consistently, retained permanently.

Expense recording

Categorised expenses with attachments, entered close to when they happen.

bKash and Nagad reconciliation

Digital receipts matched against invoices instead of reconciled by hand.

Cash flow reporting

In, out and position — current, not compiled at month end.

Audit trail

Every entry attributed and every edit retained, permanently.

The problem, and what changes.

Common operational problems this system is built to remove.
The problem todayWhat the system changes
Nobody can say what is owed to the business right now.Live receivables with ageing, per customer.
Payments come in through bKash and are matched to invoices by hand.Digital receipts reconciled against the invoice automatically.
Month-end close is a week of chasing paper.Entries post as they happen; close becomes a review.
Branch accounts are consolidated manually into one sheet.Consolidated reporting produced from the shared ledger.
1,20,000starting

Priced from the published Custom Application tier. Chart-of-accounts complexity, branch count and reporting requirements drive the final figure.

Typical timeline
8–16 weeks, confirmed in your proposal

Projects over ৳50,000 are split 40% upfront, 40% at midpoint review and 20% on final delivery. See the full price list.

The local integrations that make software usable in Bangladesh — and the reason an international product often is not.

bKashNagadBank transferEmailExcel export

Accounting Software — frequently asked.

Custom accounting software from Nimikh starts at ৳1,20,000, the published Custom Application tier. The cost is driven by how complex your chart of accounts is, how many branches consolidate, and what reporting formats you need. Fixed-scope, fixed-price proposal before work starts.
Buy the package, in most cases. Accounting is one of the most standardised functions in business and packaged products handle it well and cheaply. Custom becomes justified when accounting has to be connected to operations you already run — stock, sales, payroll — so entries post automatically instead of being re-keyed, or when local requirements around bKash reconciliation and reporting format are not served. If you just need books kept, a package is the honest answer.
Yes, and this is usually the strongest single reason a Bangladeshi SME wants a custom build. Digital receipts get matched against the invoice they settle, which removes the manual matching pass that otherwise consumes a large part of the accounts team's week.
That is a design requirement, not an afterthought. We build the chart of accounts to match how your accountant already classifies transactions, and we include the export formats they work in. Software your accountant refuses to use is a failed project regardless of how well it is built, so we involve them during discovery.
We build the reporting formats and rules your accountant or tax adviser specifies, structured so they can be updated when requirements change. We implement the treatment they confirm rather than acting as the authority on current tax law — that distinction matters, because the liability for a wrong treatment is yours.
Custom applications typically take 8 to 16 weeks. A ledger with invoicing and receivables sits at the shorter end; multi-branch consolidation with payables, reconciliation and detailed statutory reporting sits at the longer end.

Often built alongside this.

Browse all business systems, or read how we approach custom software development.

Tell us how you work now.

A 30-minute call is enough for us to tell you whether custom accounting software is worth building for your business — including when the honest answer is that it is not. Proposal within 48 hours.

Book a Discovery Call →