One Platform for Every Entity, Branch, and Subsidiary
Manage separate books for each legal entity while producing consolidated group-level reports instantly. Built for holding companies, multi-branch operations, and cross-border GCC businesses.
Consolidated Reporting
Generate group-level income statements, balance sheets, and cash flow reports across all entities — with automatic intercompany elimination.
Intercompany Transactions
Record, track, and reconcile transactions between entities automatically. Intercompany balances are eliminated during consolidation with full audit trails.
Entity-Level Controls
Each entity maintains its own chart of accounts, approval workflows, and user permissions. Corporate can view everything — entities see only their scope.
Multi-Currency Support
Entities operating in SAR, AED, QAR, KWD, and other currencies are consolidated with real-time exchange rate translation and automatic gain/loss calculations.
Centralized Administration
Add new entities in minutes. Copy chart of accounts templates, user roles, and workflow configurations from existing entities.
Per-Entity Compliance
Each entity can have its own ZATCA e-invoicing configuration, VAT registration, and regulatory settings. Compliance is entity-specific, reporting is group-wide.
Built for Complex Corporate Structures
Whether you operate 3 branches in Cairo or 20 entities across the GCC, Mujez scales without adding complexity.
- Unlimited entities on Professional and Enterprise plans
- Real-time consolidated dashboards across all entities
- Intercompany elimination with full reconciliation audit
- Entity-level ZATCA compliance and VAT registration
- Role-based access scoped by entity, department, and function
- Available as SaaS or on-premises for complete data control