Know Your Numbers. Control Your Cash Flow. Grow Your Profits.

Complete financial visibility for your construction business—from estimates to final payment. Real-time project profitability with seamless accounting integration.

The Financial Disconnect Problem

Construction and restoration contractors struggle with disconnected financial management.

Critical Pain Points

Disconnected Financial Data

Disconnected Financial Data

Manual Data Entry Nightmare

Manual Data Entry Nightmare

Poor Project Cost Tracking

Poor Project Cost Tracking

The Solution: Builder Finance Integration

An automated finance bridge connecting Zoho CRM with Zoho Books, QuickBooks, and other supported financial systems, enabling project managers to create bills and record expenses directly from project records. Built-in approval workflows and automatic synchronization ensure accuracy and eliminate duplicate data entry.

Key Innovation Image

Key Innovation

Financial management happens directly within the project environment—where work is executed—rather than in a disconnected accounting system, giving teams real-time financial visibility aligned with operations.

Complete Bill Management Workflow

Where It Happens: Directly within the project in Zoho CRM

Project managers work naturally:

Bill Entry Fields

Key Benefits

Automated Approval Routing

Bill Saved

Bill Saved

Status: “Draft”/ Stage: “Waiting for Approval”

Auto-Notification

Auto-Notification

Finance Manager receives email with bill details and documents

Finance Manager Reviews

Finance Manager Reviews

If Approved

If Rejected

Key Benefits:

Automatic Task Creation

Automatic Task Creation

Key Benefits

Complete Expense Management Workflow

Step 1

Expense Initiation in Project Context

Step 2

Expense Review & Approval Workflow

Step 3

Accounting Team Verification & Bank Reconciliation

Where It Happens

Directly within the project in Zoho CRM

Project managers record expenses in real-time

Expense Entry Fields

System automatically

Key Benefits

Streamlined Approval Process

Approval Paths

If Approved

If Rejected

Key Benefits:

Automated Matching Process

Key Benefits

Advanced Financial Features

Real-Time P&L

Role-Based Access

Auto Approvals

Audit Trail

Real-Time Project P&L Integration

Real-Time Project P&L Integration

Every bill and expense automatically linked to project

Dashboard Views

Dashboard Views

Project Financial Health

Real-time P&L for each active project

Budget Variance

Actual vs. estimated costs with alerts

Cash Flow

Pending bills, scheduled payments, expected revenue

Vendor Spending

Analysis across all projects

Role-Based Permissions

Project Managers

Project Managers

Finance Manager

Finance Manager

Accounting Team

Accounting Team

Auditors

Auditors

Automatic Status Synchronization

Real-Time Sync Between CRM and Books

Real-Time Sync Between CRM and Books

Document Management

Document Management

All Receipts and Invoices

Intelligent Notification System

Intelligent Notification System

Automated Alerts

Complete Audit Trail & Compliance

Complete Audit Trail & Compliance

Full History Tracking

Real-World Results

Operational Efficiency

Operational Efficiency

Financial Accuracy & Control

Financial Accuracy & Control

Process Improvements

Process Improvements

Management Visibility

Management Visibility

Team Productivity

Team Productivity

Financial Reports You'll Actually Use

Project Profitability Dashboard

Project Profitability Dashboard

Cash Flow Management

Cash Flow Management

Vendor Analysis

Vendor Analysis

Budget Control Reports

Budget Control Reports

Tax & Compliance

Tax & Compliance

Technical Implementation

Context-Aware Financial Entry

Context-Aware Financial Entry

Bills and expenses created directly within project context in CRM, eliminating manual project association and ensuring accurate project P&L.

Approval-Driven Synchronization

Approval-Driven Synchronization

Smart workflow creates records in Books only after approval, maintaining clean accounting data while giving project managers early visibility.

Automatic Task Assignment

Automatic Task Assignment

Intelligent task creation in Books ensures accounting team never misses bill payment processing, improving vendor relationships.

Bank Transaction Matching

Bank Transaction Matching

Streamlined reconciliation process linking
CRM-initiated expenses with bank transactions, accelerating month-end close.

Bidirectional Status Updates

Bidirectional Status Updates

Real-time sync ensuring project managers see payment status without accessing accounting system, improving transparency.

Integration with Complete Builder Flow System

Seamless Data Flow

Estimate approved

Project created with budget

Work orders generated

Labor costs tracked

Materials ordered

Bills created in project context

Field expenses captured

Mobile app to CRM to Books

Invoices sent

Payment tracking

Financial reports

Real-time project profitability

Connected Modules

Estimate Pro

Budget baseline for financial tracking

Work Orders

Labor cost allocation to projects

Mobile App

Field expense capture in real-time

Claim Scope

Insurance claim cost documentation

FSM

Service call profitability tracking

Integration with Complete Builder Flow System

Seamless Data Flow

Estimate approved

Project created with budget

Work orders generated

Labor costs tracked

Materials ordered

Bills created in project context

Financial reports

Real-time project profitability

Invoices sent

Payment tracking

Field expenses captured

Mobile app to CRM to Books

Connected Modules

Estimate Pro

Budget baseline for financial tracking

Work Orders

Labor cost allocation to projects

Mobile App

Field expense capture in real-time

FSM

Service call profitability tracking

Claim Scope

Insurance claim cost documentation

Pricing

Included in Professional and Premium plans

Professional Plan

$199 /month

Premium Plan

$299 /month

Getting Started

Implementation Process

Current Process Analysis

Document existing bill/expense workflows

Zoho CRM Setup

Custom Finance tab development

Zoho Books Mapping

Chart of accounts configuration

Approval Workflow

Role assignments and routing

Bidirectional Sync

CRM ↔ Books integration

Document Pipeline

Attachment synchronization

Training

All user roles trained on new system

Go-Live

Phased rollout with support

Optimization

Ongoing refinement based on usage

Timeline: 2-3 weeks from kickoff to production

Getting Started

Implementation Process

Current Process Analysis

Document existing bill/expense workflows

Zoho CRM Setup

Custom Finance tab development

Zoho Books Mapping

Chart of accounts configuration

Document Pipeline

Attachment synchronization

Bidirectional Sync

CRM ↔ Books integration

Approval Workflow

Role assignments and routing

Training

All user roles trained on new system

Go-Live

Phased rollout with support

Optimization

Ongoing refinement based on usage

Timeline: 2-3 weeks from kickoff to production