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Skyline Financial Centre

Enterprise treasury & financial governance platform — bank management, reconciliation, cheque tracking, bulk expense payments, general ledger, ZATCA compliance, and forensic audit trails. Purpose-built for the Saudi market and Vision 2030.

ZATCA E-Invoice Compliant SOCPA Saudi Accounting Standards SAMA Regulatory Compliant Saudi Aramco Approved ISO 27001 Information Security Vision 2030 Aligned
Aramco Approved
ISO 9001
200+ Clients
6+ Years
Vision 2030
| Reviewed by SKYLINE Technical Team
🚨 24/7 EMERGENCY SERVICE AVAILABLE
Skyline Financial Centre - SKYLINE Services in Saudi Arabia

Overview

Enterprise treasury & financial governance platform — bank management, reconciliation, cheque tracking, bulk expense payments, general ledger, ZATCA compliance, and forensic audit trails. Purpose-built for the Saudi market and Vision 2030.
Skyline Financial Centre is a next-generation treasury and financial governance platform purpose-built for Saudi enterprises. We deliver an integrated system covering the complete financial lifecycle — from bank account management and automated reconciliation, through post-dated cheque tracking and bulk expense processing, to a full general ledger with auto-posting and comprehensive financial reporting. Our platform is fully compliant with ZATCA e-invoicing requirements, Saudi accounting standards, and SAMA regulatory guidelines. With 100+ ready-made financial reports, an advanced forensic audit dashboard tracking every operation in detail, and multi-level approval workflows with role-based permissions — we provide enterprises with the complete transparency and financial control demanded by today's Saudi business environment.
As Saudi Arabia accelerates its digital transformation under Vision 2030, enterprises need intelligent financial systems that go beyond traditional accounting. Skyline Financial Centre brings together 25+ integrated financial modules in a single platform — including a treasury module with 7 sub-modules (bank accounts, reconciliation, post-dated cheques, fund transfers, petty cash, cash advances, and voucher management), plus a complete accounting system with a Saudi-standard chart of accounts spanning 59 accounts in a hierarchical structure, and a journal entry system with full approval chains. Our system serves 200+ clients across the Kingdom, processing millions of transactions monthly with halala-level precision. Every financial operation — from the smallest petty cash expense to the largest bank transfer — is automatically recorded, tracked, and audited, giving management, auditors, and regulators a comprehensive and reliable view of the financial position at any moment.

Key Benefits & Features

Integrated Treasury Management with 7 Sub-Modules — Banks, Reconciliation, Cheques, Transfers, Petty Cash, Advances, Vouchers
Smart Automated Bank Reconciliation with Statement Import and One-Click Matching
Complete Post-Dated Cheque Lifecycle — Receive, Deposit, Clear, Bounce with Auto GL Entries
Full General Ledger with Saudi-Standard 59-Account Chart of Accounts & Auto-Posting
100+ Financial Reports — Balance Sheet, Income Statement, Cash Flow, Aging, Trial Balance & More
Full ZATCA Compliance — E-Invoicing, QR Codes, VAT Calculation, Zakat Returns
Advanced Forensic Audit Dashboard — IP Tracking, Browser Logging, Change Diffs, Risk Levels, Live Users
Bulk Expense Processing with Multi-Level Approval Workflows & Auto GL Posting
Complete Payroll Integration — Auto-Post Salary Expenses, Deductions, Social Security & Accruals
Budget Management with Variance Analysis, Cost Centers & Financial Performance Reports

Technical Specifications & Capabilities

Enterprise-grade financial platform built on reliable, scalable infrastructure

  • Platform Architecture: Enterprise-grade high-performance design with AES-256 encryption for sensitive financial data
  • Chart of Accounts: 59-account Saudi-standard hierarchy (GL codes 1000 to 6900001)
  • Account Primary Types: Assets, Liabilities, Equity, Income, Expenses
  • Calculation Precision: Halala-level (2 decimal places) with exact arithmetic — zero rounding errors
  • Auto-Posting Engine: 8 types — Sales, Purchases, Expenses, Payroll, Payments, Refunds, Stock Adjustments, Tax
  • Approval Workflows: Multi-level (Preparer, Reviewer, Approver) with amount-based thresholds
  • Reporting Suite: 100+ reports with Excel & PDF export — Balance Sheet, P&L, EBITDA, Cash Flow, Trial Balance, Aging
  • Forensic Audit Trail: IP tracking, browser logging, 5 risk levels, live user monitoring with 30-second refresh
  • Multi-Currency: Daily exchange rates with realized/unrealized FX gains & losses
  • Integrations: ZATCA for e-invoicing, Geidea payment terminal, WPS payroll export, GOSI integration
  • Security: 150+ granular permissions, full encryption, financial Segregation of Duties
  • Zakat & Tax Returns: Automatic zakat base calculation and filing-ready VAT returns

Industry Applications

Restaurants & Hospitality

Integrated financial management for restaurant chains and hotels with automatic POS integration

  • Daily POS settlement with bank accounts
  • Multi-branch sales tracking in unified GL
  • Supplier payment management with post-dated cheques
  • Profitability reports per branch and cost center

Retail & Commerce

Comprehensive financial solutions for retail stores of all sizes with inventory-linked accounting

  • FIFO and weighted average cost inventory accounting
  • ZATCA-compliant electronic invoicing
  • Customer and supplier aging reports
  • Budget planning with variance analysis

Professional Services & Consulting

Financial management for consulting firms, law offices, and professional service companies

  • Revenue and expense tracking per project and client
  • Employee advance management and settlements
  • Expense claims with electronic approval chains
  • Profitability reports per project and cost center

Healthcare & Hospitals

Financial system compliant with healthcare sector requirements and insurance standards

  • Insurance claim and settlement management
  • Multi-department accounting with cost centers
  • Receivable tracking by insurance company
  • Cost reports per department and medical service

Construction & Contracting

Specialized financial management for construction projects with project-based cost tracking

  • Project accounting with direct and indirect costs
  • Letter of guarantee and PDC management
  • Financial progress reports per project
  • Subcontractor and partial payment management

Manufacturing & Industry

Financial solutions for factories with full integration into inventory and production management

  • Production cost accounting with raw material allocation
  • Multi-supplier procurement with payment terms
  • Product cost and margin ratio reports
  • Auto-matching supplier invoices with purchase orders

Why Choose SKYLINE for Skyline Financial Centre?

  • 100% Saudi-market platform — Saudi chart of accounts, ZATCA compliance, halala precision, full Arabic UI
  • 200+ active clients trust our platform for their daily financial operations
  • 25+ integrated financial modules in a single platform — no need for multiple systems or complex integrations
  • Unmatched forensic audit trail — track every operation with IP, browser, and 5 risk levels
  • Auto-posting eliminates manual entry — 8 auto-posting types ensure GL accuracy
  • 24/7 support from a dedicated Saudi team in Dammam, Jeddah, and Riyadh

Case Studies & Success Stories

1

Restaurant Chain — 12 Branches Across 3 Cities

Hospitality & Food Service

Challenge

The chain managed finances manually via separate Excel spreadsheets per branch, with 15-day delays in monthly financial reports and inability to track cash flows between branches

Solution

Deployed Skyline Financial Centre with POS integration across 12 branches, daily auto bank reconciliation, unified GL with cost centers per branch, and real-time financial dashboard

Results

Instant financial reports (vs. 15-day delay), 120 hours/month saved in manual accounting, SAR 47,000 in discrepancies discovered in the first month

2

Contracting Company — SAR 50M in Active Projects

Construction & Contracting

Challenge

Managing SAR 8M in post-dated cheques with 200+ active cheques, and no control over project expenses or project-based cost tracking

Solution

Full PDC system with automatic maturity alerts, project accounting with per-project cost centers, and 3-level expense approval workflow

Results

Zero forgotten or lost cheques since deployment, 35% reduction in project budget overruns, real-time cost reports per project

3

Retail Group — ZATCA Compliance & Digital Transformation

Retail Sector

Challenge

Need to comply with ZATCA Phase 2 e-invoicing requirements while maintaining business continuity and daily sales operations

Solution

Full Skyline platform deployment with ZATCA-compliant e-invoicing, QR codes on every invoice, and automatic tax return generation

Results

100% ZATCA Phase 2 compliance, 80% reduction in tax return preparation time, zero non-compliance penalties

Our Service Process

1

Financial Assessment & Analysis

We start with a comprehensive analysis of your current financial operations — chart of accounts, banking workflows, expense cycles, reporting requirements, and regulatory compliance. We identify gaps and design a customized implementation plan.

2

Chart of Accounts Design & Setup

We design a customized chart of accounts following Saudi standards (SOCPA) tailored to your business, and configure bank accounts, tax settings, cost centers, budgets, and fiscal periods.

3

Data Migration & Opening Balances

We migrate your financial data from your current system — opening balances, customer and supplier records, outstanding PDCs, and transaction history — with guaranteed reconciliation accuracy.

4

Training & Go-Live

We provide comprehensive training for your finance team on all modules — treasury, accounting, reporting, and audit. We accompany you through the first month of live operations to ensure a smooth transition.

5

Ongoing Support & Optimization

24/7 ongoing technical support, regular system updates, quarterly financial reviews for performance optimization, and automatic compliance updates for ZATCA and SAMA requirements.

Skyline Financial Centre Across Saudi Arabia

As a leading Skyline Financial Centre provider in Saudi Arabia, SKYLINE serves clients across all major cities and regions:

Skyline Financial Centre in Dammam & Eastern Province

Our Dammam headquarters serves as the primary Financial Centre hub for the Eastern Province. We provide treasury, accounting, and governance solutions for businesses in Dammam, Khobar, Dhahran, Jubail, Qatif, and Al-Ahsa. Our team of certified financial consultants and accountants is based here, providing on-site implementation, training, and ongoing support for clients in the oil & gas, petrochemical, and industrial sectors.

  • 24/7 emergency response
  • Local team of certified engineers
  • Oil & gas sector expertise
View Dammam office details

Skyline Financial Centre in Jeddah & Western Region

Our Jeddah office serves the Western Region with specialized financial solutions for the hospitality, retail, and commercial sectors. We support businesses in Jeddah, Makkah, Taif, and Yanbu with treasury management, ZATCA compliance, and bank reconciliation services tailored to the high-volume transaction environment of the Red Sea coast commercial hub.

  • Rapid deployment across Western region
  • Commercial & industrial facility expertise
  • Red Sea coast expertise
View Jeddah services

Skyline Financial Centre in Riyadh & Central Region

Our Riyadh presence supports the capital's government, banking, and corporate sectors with enterprise-grade treasury and governance solutions. We serve clients involved in Vision 2030 mega-projects, government ministries, and financial institutions across Riyadh, Diriyah, Kharj, and the Central Region with SAMA-compliant financial management and advanced audit capabilities.

  • Government-approved contractor
  • Vision 2030 project experience
  • Central region logistics hub
View Riyadh operations

Nationwide Skyline Financial Centre Coverage

Beyond these major cities, SKYLINE provides Skyline Financial Centre throughout Saudi Arabia including Tabuk, Hail, Buraidah, Abha, Jazan, and all other regions.

Emergency Skyline Financial Centre Service - 24/7 Available

Urgent Situations We Handle:

  • Skyline Financial Centre system breakdown
  • Critical equipment failure
  • Emergency repairs needed immediately
  • Production downtime issues
  • Safety compliance emergencies
  • Aramco & industrial sector emergencies

Get Immediate Help:

Our emergency response team is available 24/7 in Dammam, Jeddah, and Riyadh. Average response time: Under 2 hours in major cities.

📞 Emergency Hotline: +966 50 993 9334 WhatsApp Emergency

Available 24/7 - English & Arabic

Response Time by City:

  • 🏢 Dammam & Eastern Province: Under 2 hours
  • 🏢 Jeddah & Western Region: 2-4 hours
  • 🏢 Riyadh & Central Region: 2-4 hours

Skyline Financial Centre Pricing Information

We offer flexible solutions for projects of all sizes. Contact us for a detailed quote tailored to your specific requirements.

Small Projects

  • Small to medium facilities
  • Limited scope of work
  • Quick implementation

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Medium Projects

  • Industrial & commercial facilities
  • Comprehensive solutions
  • Ongoing technical support

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Large Projects

  • Aramco & major industrial projects
  • Turnkey solutions
  • Dedicated project management

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What Affects Pricing?

Project scope and size
Location (Dammam, Jeddah, Riyadh)
Equipment and materials required
Timeline and delivery requirements
Technical specifications and industry standards
Maintenance and support contracts

Note: All prices are negotiable based on project requirements. We offer discounts for long-term contracts and large projects. Contact us for a detailed free quotation.

Ready to Get Started?

Get a free, detailed quote for your project. Our team is ready to discuss your requirements and provide the best solutions at competitive prices.

Frequently Asked Questions

What are the key advantages of Skyline Financial Centre compared to other accounting systems in Saudi Arabia?

Skyline Financial Centre is purpose-built for the Saudi market with a SOCPA-standard chart of accounts and full ZATCA e-invoicing compliance. It includes 25+ integrated financial modules covering complete treasury management (banks, PDCs, petty cash, advances), a full general ledger with auto-posting for 8 transaction types, 100+ financial reports, and an advanced forensic audit dashboard tracking every operation with IP and browser details. All in a single platform instead of multiple systems.

Is the platform compliant with ZATCA e-invoicing requirements?

Yes, Skyline Financial Centre is fully compliant with ZATCA Phase 1 and Phase 2 e-invoicing requirements. This includes electronic invoice generation in the required format, QR codes on every invoice, automatic VAT calculation, comprehensive tax reports, and zakat returns ready for submission. We automatically update the system with every ZATCA requirement change to ensure ongoing compliance.

How does the automated bank reconciliation system work?

Skyline's bank reconciliation system automatically imports bank statements and compares them against the bank GL account. The smart matching engine auto-matches transactions by amount, date, and reference, with manual matching capability for unmatched items. The system includes variance analysis, outstanding item tracking, and print-ready reconciliation reports for approval.

Does the system fully support post-dated cheque management?

Yes, our system supports the complete PDC lifecycle — from cheque receipt and recording, through bank deposit, to clearance or bounce. Each stage automatically generates GL entries. The system includes automatic maturity alerts, cheque reports by date and party, chequebook management, and real-time status tracking for every cheque.

What is the subscription cost for Skyline Financial Centre?

We offer flexible subscription plans for all business sizes — from small businesses to large multi-branch groups. Pricing depends on number of users, branches, and modules required. Contact us at +966509939334 or send a WhatsApp message for a customized quote with a free demo.

How long does system implementation and go-live take?

Implementation time depends on your business size and type. Generally, small businesses (1 branch) go live in 1-2 weeks. Medium (3-5 branches) in 2-4 weeks. Large (10+ branches) in 4-8 weeks. This includes analysis, chart of accounts design, data migration, training, and pilot period. We accompany you through the first month to ensure a smooth transition.

What are the system's audit and governance capabilities?

The system includes an advanced forensic audit dashboard that tracks every financial operation in complete detail — user IP address, browser type, before/after change diffs, 5 risk classification levels (low to critical), and live user monitoring with 30-second refresh. It also includes an RBAC permissions system with 150+ granular permissions, multi-level approval workflows with amount-based thresholds, and comprehensive audit reports ready for external auditors.

How does the automated zakat return system work in Skyline Financial Centre?

The automated zakat return system calculates the zakat base directly from actual general ledger data — it aggregates zakat-eligible assets (cash, inventory, accounts receivable) and deducts allowable liabilities (accounts payable, short-term loans) using the net working capital method approved by ZATCA. The system generates the zakat return form in the format required by the Zakat, Tax and Customs Authority, with details of each line item and source account numbers. You can review and adjust the return before submission, with a complete archive of all previous returns. This automation reduces zakat return preparation time from days to minutes.

What is the difference between Skyline Financial Centre and other accounting software like Qoyod, Wafeq, and Daftra?

The fundamental difference is that traditional accounting software (Qoyod, Wafeq, Daftra) focuses on basic accounting and invoicing, while Skyline Financial Centre delivers an integrated platform combining complete treasury management (7 sub-modules), point of sale, accounting, CRM, HRM & payroll, and inventory — all in one platform. Our system uniquely offers: (1) smart automated bank reconciliation not available in other software, (2) full post-dated cheque lifecycle management, (3) advanced forensic audit dashboard with IP and browser tracking, (4) 100+ financial reports including EBITDA, trial balance, and cash flow, (5) auto-posting for 8 transaction types instead of manual journal entries. This makes Skyline the ideal choice for enterprises needing more than basic accounting.

Is the system compliant with ZATCA Phase 2 (Integration Phase) requirements?

Yes, Skyline Financial Centre is fully compliant with FATOORA Phase 2 (Integration Phase) requirements. This includes: electronic invoice generation in required XML/PDF-A3 format, cryptographic stamp on every invoice, encrypted QR code containing seller, buyer, and tax data, unique UUID per invoice, direct API integration with the ZATCA FATOORA platform, and real-time verification of each invoice status (accepted/rejected). We keep the system updated with every ZATCA requirement change to ensure your continuous compliance without any manual intervention.

Does the system support multi-branch management with full financial consolidation?

Yes, Skyline Financial Centre is designed for multi-branch enterprises. Each branch has an independent POS and dedicated cost center, with real-time financial consolidation at the entity level. This includes: per-branch and consolidated financial reports (consolidated balance sheet, income statement, cash flow), inter-branch inventory transfers with automatic GL entries, petty cash management per branch with amount ceilings, inter-branch bank transfers, and a central dashboard showing all branch performance in real-time. We have served retail chains and restaurant groups with 12+ branches across 3 Saudi cities.

How does the EBITDA report help evaluate my enterprise performance?

The EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) report in Skyline Financial Centre is calculated automatically from actual GL data and provides: period-over-period EBITDA comparison (monthly, quarterly, annual) to identify performance trends, EBITDA margin as a percentage to measure operational efficiency, EBITDA analysis by branch and cost center to identify the most profitable units, actual vs. budget comparison with variance analysis, and adjusted EBITDA excluding non-recurring items. This report is essential when applying for bank financing, valuing the company for investment, or presenting board reports. It can be exported in auditor-ready Excel and PDF formats.

Is the system cloud-based or does it require local server installation?

Skyline Financial Centre is fully cloud-based — no local server installation or infrastructure maintenance required. You can access the system from any device (computer, tablet, smartphone) through a web browser. Data is encrypted with AES-256 and stored on secure servers with automatic daily backups. We also offer private cloud hosting for enterprises with additional security requirements or governance policies requiring data residency within the Kingdom. In both cases, the subscription includes automatic updates and 24/7 technical support.

What financial reports are available and do they comply with SOCPA and IFRS standards?

Skyline Financial Centre offers 100+ financial reports compliant with SOCPA (Saudi Organization for Chartered and Professional Accountants) standards and IFRS (International Financial Reporting Standards) adopted in Saudi Arabia. Reports include: the four main financial statements (balance sheet, income statement, cash flow, equity changes), trial balance and general ledger, EBITDA and financial ratio analysis, accounts receivable and payable aging, VAT analysis reports (input/output), annual zakat return, cost center and budget reports, and forensic audit reports. All reports support Arabic and English and export in auditor-ready Excel and PDF formats for regulators and external auditors.

How does the system align with Saudi Vision 2030 financial digital transformation?

Skyline Financial Centre is designed to be part of the financial digital transformation under Vision 2030. The system supports: full e-invoicing per FATOORA requirements to advance the digital economy, automatic compliance with ZATCA, SAMA, and SOCPA requirements to enhance financial transparency, advanced financial governance with forensic audit supporting anti-corruption efforts, integration with WPS wage protection and GOSI social security systems, Foreign Direct Investment (FDI) reporting required by the Ministry of Investment (MISA), and a cloud-based system supporting the transition from traditional on-premise systems to integrated digital solutions. We help Saudi enterprises adopt the latest digital financial practices aligned with Vision 2030.

Reviewed by SKYLINE Technical Team

Verified

Our certified technical team ensures the accuracy of all technical information. SKYLINE is ISO 9001 certified, Aramco Approved, with 6+ years of experience delivering industrial and IT solutions across Saudi Arabia.

ISO 9001 Aramco Approved 6+ Years Experience 200+ Clients

Detailed Service Offerings

Treasury Management

Comprehensive management of bank accounts, inter-account transfers, petty cash, cash advances, and payment/receipt vouchers with full approval chains

Bank Reconciliation

Smart reconciliation engine matching bank statements against GL — auto-matching, manual matching, variance analysis with reconciliation reports

Post-Dated Cheques

Full cheque lifecycle tracking — from receipt and deposit through clearance or bounce, with automatic GL entries at each stage

Accounting & General Ledger

Saudi-standard 59-account chart of accounts, journal entries with approval workflow, auto-posting for all transaction types, and fiscal period management

Financial Reporting & Analytics

Over 100 comprehensive financial reports — balance sheet, income statement, cash flow, trial balance, AR/AP aging, payment registers and receipt registers

Tax Compliance & ZATCA

Full ZATCA compliance — electronic invoicing, QR code generation, VAT calculation and reporting, and zakat return preparation

Governance & Audit

Advanced forensic audit dashboard, track all operations in detail with IP address, browser, risk levels, and multi-level role-based access control

Expense Management

Expense claim management with approval chains, bulk expense processing, cost center classification, and automatic GL posting

Zakat & Tax Returns

Automatic preparation of zakat and VAT returns per ZATCA (Zakat, Tax and Customs Authority) requirements, with e-invoicing, QR codes, and comprehensive tax reports

Sales & Point of Sale

Integrated POS system with sales management, invoicing, returns, discounts, multiple payment methods, and detailed sales reports per branch, product, and customer

Customer Relationship Management (CRM)

Full CRM system — lead management, marketing campaigns, follow-up automation, customer behavior analytics, and customer intelligence reports for increasing sales and retention

HRM & Payroll

Complete HRM — payroll with WPS export, attendance tracking, leave management, advances, GOSI social security, end-of-service benefits, and full GL integration

Inventory & Procurement

Inventory management integrated with accounting — FIFO, weighted average cost, purchase orders, stock transfers, stock adjustments, and financial inventory valuation reports

Platform Screenshots

An inside look at the system interface and integrated modules

Treasury Management

Skyline Financial Centre Treasury Dashboard — Bank Management and Balances

Treasury Dashboard

Complete overview of bank accounts, balances, transfers, and pending cheques

Skyline Financial Centre Treasury Dashboard — Bank Management and Balances

Treasury Dashboard

Complete overview of bank accounts, balances, transfers, and pending cheques

Smart Bank Reconciliation System — Automated Bank Statement Matching

Smart Bank Reconciliation

Auto-matching engine comparing bank statements against the general ledger

Smart Bank Reconciliation System — Automated Bank Statement Matching

Smart Bank Reconciliation

Auto-matching engine comparing bank statements against the general ledger

Post-Dated Cheque Management System — PDC Lifecycle Tracking

Post-Dated Cheque Management

Full cheque lifecycle tracking — receive, deposit, clear, bounce

Post-Dated Cheque Management System — PDC Lifecycle Tracking

Post-Dated Cheque Management

Full cheque lifecycle tracking — receive, deposit, clear, bounce

Accounting & Financial Reports

Chart of Accounts Following Saudi SOCPA Standards

Chart of Accounts

Saudi-standard chart of accounts with 59 accounts in hierarchical structure

Chart of Accounts Following Saudi SOCPA Standards

Chart of Accounts

Saudi-standard chart of accounts with 59 accounts in hierarchical structure

Trial Balance Report — Real-Time Accounting Balance

Trial Balance

Real-time trial balance with period comparison and Excel/PDF export

Trial Balance Report — Real-Time Accounting Balance

Trial Balance

Real-time trial balance with period comparison and Excel/PDF export

EBITDA Report — Earnings Before Interest Taxes Depreciation Amortization

EBITDA Report

Automated EBITDA report with operational performance analysis and period comparison

EBITDA Report — Earnings Before Interest Taxes Depreciation Amortization

EBITDA Report

Automated EBITDA report with operational performance analysis and period comparison

Income Statement — Profit and Loss Report

Profit & Loss Statement

Income statement with year-over-year comparison and percentage analysis

Income Statement — Profit and Loss Report

Profit & Loss Statement

Income statement with year-over-year comparison and percentage analysis

Balance Sheet — Financial Position Report

Balance Sheet

Complete balance sheet — assets, liabilities, and equity

Balance Sheet — Financial Position Report

Balance Sheet

Complete balance sheet — assets, liabilities, and equity

Zakat, Tax & ZATCA Compliance

Automated Zakat Return Form — Zakat Base Calculation

Automated Zakat Return Form

Automatic zakat return preparation with zakat base calculation from actual GL data

Automated Zakat Return Form — Zakat Base Calculation

Automated Zakat Return Form

Automatic zakat return preparation with zakat base calculation from actual GL data

VAT Analysis Report — Value Added Tax Input Output Analysis

VAT Analysis Report

Comprehensive input/output VAT analysis with filing-ready VAT return

VAT Analysis Report — Value Added Tax Input Output Analysis

VAT Analysis Report

Comprehensive input/output VAT analysis with filing-ready VAT return

ZATCA FATOORA E-Invoicing System — Electronic Invoicing

ZATCA E-Invoicing

FATOORA-compliant e-invoices with QR code and digital signature

ZATCA FATOORA E-Invoicing System — Electronic Invoicing

ZATCA E-Invoicing

FATOORA-compliant e-invoices with QR code and digital signature

Sales & Customer Management

CRM Dashboard — Customer Relationship Management and Sales Analytics

CRM Dashboard

Customer relationship management with performance analytics and sales pipeline

CRM Dashboard — Customer Relationship Management and Sales Analytics

CRM Dashboard

Customer relationship management with performance analytics and sales pipeline

Sales Report — Detailed Sales Analysis by Branch and Product

Detailed Sales Report

Detailed sales reports by branch, product, customer, and payment method

Sales Report — Detailed Sales Analysis by Branch and Product

Detailed Sales Report

Detailed sales reports by branch, product, customer, and payment method

HRM & Payroll

Payroll System — WPS GOSI and End of Service Benefits

Payroll with WPS Export

Complete payroll management with WPS export, GOSI calculation, and end-of-service benefits

Payroll System — WPS GOSI and End of Service Benefits

Payroll with WPS Export

Complete payroll management with WPS export, GOSI calculation, and end-of-service benefits

Governance & Forensic Audit

Forensic Audit Dashboard — Financial Operations Monitoring and Risk Analysis

Advanced Forensic Audit Dashboard

Track every operation with IP, browser, risk levels, and live user monitoring

Forensic Audit Dashboard — Financial Operations Monitoring and Risk Analysis

Advanced Forensic Audit Dashboard

Track every operation with IP, browser, risk levels, and live user monitoring

Inventory & Procurement

Inventory Stock Summary — FIFO and Weighted Average Valuation

Inventory Stock Summary

Integrated inventory report with financial valuation (FIFO/weighted average)

Inventory Stock Summary — FIFO and Weighted Average Valuation

Inventory Stock Summary

Integrated inventory report with financial valuation (FIFO/weighted average)

EBITDA Report & Financial Performance Analysis

Measure your enterprise's true operational performance

EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is the most critical metric for evaluating the true operational performance of any enterprise. This indicator reveals the real profitability of a company by isolating the effects of financing structure, tax policies, and capital expenditure decisions.

In Skyline Financial Centre, the EBITDA report is calculated automatically from actual general ledger data — net revenue minus cost of goods sold and operating expenses, plus depreciation, amortization, interest, and taxes. The report provides:

• Period-over-period EBITDA comparison (monthly, quarterly, annual) to identify performance trends
• EBITDA margin as a percentage of revenue to measure operational efficiency
• EBITDA analysis by cost center and branch to identify the most profitable business units
• Actual vs. budget EBITDA comparison with variance analysis
• Adjusted EBITDA report excluding non-recurring items to show sustainable performance

This report is essential for investors, banks, and regulatory authorities to assess creditworthiness and enterprise market valuation.
100% Automated
EBITDA from GL Data
5 Reports
EBITDA, Margin, Adjusted, Branch, Budget
Real-Time
Live Calculation from Actual Data
Export
Excel & PDF Auditor-Ready

Fiscal Authority & Regulatory Compliance

Full compliance with all regulatory authorities in the Kingdom of Saudi Arabia

Enterprises in the Kingdom of Saudi Arabia operate within a strict regulatory framework requiring compliance with multiple regulatory authorities. Skyline Financial Centre is designed to ensure your full compliance with all regulatory requirements — from the Zakat, Tax and Customs Authority (ZATCA) to the Saudi Central Bank (SAMA), the Saudi Organization for Chartered and Professional Accountants (SOCPA), and the Ministry of Investment (MISA).

Our system automatically generates all required reports and returns from actual general ledger data, ensuring accuracy of data submitted to regulatory authorities and minimizing the risk of penalties and non-compliance.

Zakat, Tax & Customs Authority (ZATCA)

Full compliance with ZATCA requirements for e-invoicing, tax returns, and zakat declarations

  • E-invoicing compliant with FATOORA Phase 1 & Phase 2
  • Automatic VAT returns — quarterly and monthly filing
  • Annual zakat returns with automatic zakat base calculation
  • QR code on every invoice with certified digital signature
  • Comprehensive VAT analysis reports (Input/Output Analysis)
  • E-invoice archiving in ZATCA-required XML format

Saudi Central Bank (SAMA)

Financial governance and control systems aligned with SAMA regulatory framework

  • Financial Segregation of Duties with 150+ granular permissions
  • Multi-level approval workflows with amount-based thresholds
  • Complete Forensic Audit Trail with full traceability
  • Financial risk management with 5 classification levels
  • Governance reports ready for external auditors

Saudi Organization for Accountants (SOCPA)

Chart of accounts and financial reports aligned with Saudi accounting standards

  • Chart of accounts following SOCPA/IFRS standards adopted in Saudi Arabia
  • Complete financial statements — balance sheet, income, cash flow, equity changes
  • Trial balance and general ledger in standard format
  • EBITDA report and financial ratio analysis
  • Fiscal period and year-end closing with automatic balance carry-forward

Ministry of Investment (MISA)

Foreign Direct Investment (FDI) reports required by the Ministry of Investment

  • Investor data management and ownership stake tracking
  • Quarterly and annual FDI reports in required format
  • Foreign capital movement tracking (inflows and outflows)
  • Investment-specific journal entries
  • MISA report export in Excel & PDF format

Complete Comparison: Skyline vs Alternatives

Why 200+ Saudi clients choose our platform

Feature Skyline
Our Platform
Qoyod Wafeq Daftra
Treasury Management (7 Modules)
Smart Bank Reconciliation Basic
Post-Dated Cheques (PDC)
Automated EBITDA Report
Automated Zakat Return
Forensic Audit (IP/Browser/Risk)
ZATCA Phase 2
GL + Auto-Posting Basic Basic Basic
100+ Financial Reports
Point of Sale (POS) Basic
CRM + Automation Basic
Payroll (WPS/GOSI)
Kitchen/Customer Display
Offline Mode + Sync
Arabic 24/7 Support

Comparison based on publicly available information as of February 2026. Company names are trademarks of their respective owners.

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ISO 9001:2015
Saudi Aramco Approved
24/7 Support
8 Divisions