Build an Accounting SaaS in Minutes With AI
Create your accounting saas in minutes with AI. Add user accounts, billing, and backend from a prompt, and launch without coding.
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Emergent Key Features for Building an Accounting SaaS
Double entry, bank reconciliation and tax treatment are not features. They are the conditions for anyone trusting the numbers.
Double Entry Underneath Everything
Every transaction posts balanced entries, so the accounts always agree by construction rather than being corrected during a close.
Bank Feeds with Sensible Matching
Imported transactions are matched to invoices and bills with rules that learn from previous decisions, because reconciliation is where the hours actually go.
Tax Treatment per Line
Rates, exemptions and reverse charge are applied at line level and carried through to returns, rather than applied to a total and quietly wrong somewhere.
Periods That Close Properly
Locked periods prevent retrospective changes after filing, and any adjustment posts as a dated correction rather than editing history.
Audit Trail on Every Change
Who changed what, when, and what it was before. This is the difference between accounting software and a spreadsheet with better formatting.
Reports That Reconcile to Each Other
The profit and loss, balance sheet and cash statement are generated from the same postings, so they agree without anyone reconciling them by hand.
Accounting SaaS Use Cases You Can Build in Minutes

Accounts That Agree by Construction
Chart of accounts with double entry postings, journals with supporting detail, period locking after filing, multi currency with clear conversion records, and every balance traceable to its entries.
window.awbMockup = { generalLedger: "Build a general ledger with a configurable chart of accounts, double entry postings, journals with supporting detail, period locking after filing so history cannot be altered, multi currency with explicit conversion records, and every balance traceable to its underlying entries.", bankReconciliation: "Build a bank reconciliation app importing transactions from open banking feeds, matching them against invoices, bills and existing entries with rules that improve as corrections are made, ageing unreconciled items, and requiring differences to be explained rather than forced.", taxAndCompliance: "Build a tax compliance module applying tax at line level with exemptions and reverse charge, producing returns from the underlying postings rather than a separate calculation, tracking filing deadlines, and retaining submission confirmations with the exact figures as filed.", financialReporting: "Build financial reporting where profit and loss, balance sheet and cash flow are all generated from the same postings so they reconcile automatically, with comparison against prior periods and budget, drilldown from any figure to its transactions, and export in accountant ready formats."};

Where the Hours Actually Go
Bank feeds imported and matched against invoices, bills and existing transactions, matching rules that improve with each decision, unreconciled items aged, and differences explained rather than forced.
Where the Hours Actually Go
Bank feeds imported and matched against invoices, bills and existing transactions, matching rules that improve with each decision, unreconciled items aged, and differences explained rather than forced.

Returns From the Ledger, Not a Rebuild
Tax applied at line level with exemptions and reverse charge, returns produced from the underlying postings, filing deadlines tracked, and submissions recorded with confirmation and the figures as filed.
window.awbMockup = { generalLedger: "Build a general ledger with a configurable chart of accounts, double entry postings, journals with supporting detail, period locking after filing so history cannot be altered, multi currency with explicit conversion records, and every balance traceable to its underlying entries.", bankReconciliation: "Build a bank reconciliation app importing transactions from open banking feeds, matching them against invoices, bills and existing entries with rules that improve as corrections are made, ageing unreconciled items, and requiring differences to be explained rather than forced.", taxAndCompliance: "Build a tax compliance module applying tax at line level with exemptions and reverse charge, producing returns from the underlying postings rather than a separate calculation, tracking filing deadlines, and retaining submission confirmations with the exact figures as filed.", financialReporting: "Build financial reporting where profit and loss, balance sheet and cash flow are all generated from the same postings so they reconcile automatically, with comparison against prior periods and budget, drilldown from any figure to its transactions, and export in accountant ready formats."};

Statements That Reconcile to Each Other
Profit and loss, balance sheet and cash flow generated from the same postings, comparison against prior periods and budget, drilldown from any figure to its transactions, and export in the formats an accountant expects.
window.awbMockup = { generalLedger: "Build a general ledger with a configurable chart of accounts, double entry postings, journals with supporting detail, period locking after filing so history cannot be altered, multi currency with explicit conversion records, and every balance traceable to its underlying entries.", bankReconciliation: "Build a bank reconciliation app importing transactions from open banking feeds, matching them against invoices, bills and existing entries with rules that improve as corrections are made, ageing unreconciled items, and requiring differences to be explained rather than forced.", taxAndCompliance: "Build a tax compliance module applying tax at line level with exemptions and reverse charge, producing returns from the underlying postings rather than a separate calculation, tracking filing deadlines, and retaining submission confirmations with the exact figures as filed.", financialReporting: "Build financial reporting where profit and loss, balance sheet and cash flow are all generated from the same postings so they reconcile automatically, with comparison against prior periods and budget, drilldown from any figure to its transactions, and export in accountant ready formats."};
Build your accounting SaaS in four steps
Your account structure, tax treatments, period ends, who may post and what must be locked after filing. The ledger is built to balance by construction rather than by reconciliation.
Your account structure, tax treatments, period ends, who may post and what must be locked after filing. The ledger is built to balance by construction rather than by reconciliation.
Open banking feeds for transactions, your invoicing source, and the filing route for your jurisdiction. Imported transactions match against invoices and bills with rules that improve as you correct them.
An additional company, a different currency, a changed tax rate, an extra reporting dimension. Locked periods stay locked and historical postings are never rewritten.
Post a full month alongside your existing books and compare every statement. Trust is the entire product here, and it is only earned by the numbers matching.
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