ADDA Frequently Asked Questions Communities. Connected.

Have a Question?

How to add the Inventories?

Please follow the steps below to add Inventories: Step 1: Login to ADDA>>Admin>>Asset & Inventory Tracker >> Set Up >> Add all the Inventory Categories with the specified unit and Click Save. Step 3: Click on Inventory Tab >> For the particular Inventory, click on View Step 4: A separate window . . . Read more

What is the purpose of Bank & Cash Reconciliation?

Income entries are being captured in Income Tracker and cheque / cash gets deposited in Bank Account. Expenses are being captured in Expense Tracker and cheques are written to withdraw money. How do you ensure that all the entries are correct. Bank & Cash Reconciliation is the solution. We recommend . . . Read more

How do I use the Admin Files?

Admin Files can be used in below scenarios: i. Store/Share files amongst Admins only ii. Share with only owners or all residents iii. Share flat specific files with concerned Owner only. Admin Files can be used to store Files like By-Laws, MOM, reference documents such as Sale Deed copies, etc. . . . Read more