Lighthouse for Marina Management
Lighthouse Marina Management Software is a cloud-based application developed using the latest software technologies, equipped with advanced modules and features to meet all your managerial needs within the marina.
The organization of general and technical information regarding boats has been carefully considered. Each boat is tracked by its code and name to prevent processing confusion among boats with the same name.
Detailed information records can be kept for boat types, categories, dimensions, construction materials, mooring locations, contracts, insurance records, mooring port, license information, photographs, documents, legal restriction status, winter storage, and more.
All debt and credit transactions of boats can be easily tracked. Debts arising from contracts, services, and technical service transactions are automatically recorded in the boat's current account, thus improving tracking processes through an integrated account management system.
Payments made directly to the cash register or through bank channels are also added to the current account. This reduces confusion in boat accounts and helps prevent potential losses.
This module has been designed for creating and managing mooring contracts for boats. This module allows tracking ongoing, expiring, and expired contracts. When contracts are created, the contract amount is transferred as debt to the boat's current account. The contract amount can be automatically calculated, and predefined discount rates can be applied to the contract amount.
Various types of contracts such as Mooring Contracts, Extension Contracts, and Preliminary Contracts can be created. Additionally, using various contract templates, contracts can be quickly generated in different formats and languages.
The system allows defining as many Cash and Bank accounts as needed. Payments received and expenses incurred can be recorded in these accounts, enabling transparent and easy tracking of your marina's income and expenditures through daily, weekly, and monthly account reports.
Cash and Bank accounts can be securely authorized, ensuring that only authorized personnel can view them. You can easily transfer money between cash accounts and perform currency conversions. End-of-day reports are automatically generated, streamlining users' tasks. It's also possible to track accounts in different currency exchange rates within Bank and Cash accounts.
Marina Settlement Plan allows for easy tracking of boat mooring positions, contracts, and insurance.
Actions such as placement and relocation on the map, hauling out, and launching into the sea can be performed.
Dozens of reports have been designed for all modules such as Boats, Contracts, Accounting, Technical Service, Services, Security, etc., to help you easily track your marina.
With highly detailed filters such as date, boat types, tasks, and accounts, you can view your data, tasks, and accounts from various perspectives.
To facilitate marina management, numerous summary data such as current number of boats, contracts expiring, upcoming expirations, and task tracking can be monitored in real-time.
We can make the necessary developments and adjustments to allow you to track your administrative processes and workflows most effectively.
With our experienced and skilled team, we can design, develop, and integrate according to your requests. We can provide solutions to the problems you encounter and implement them successfully.
The most important processes for managing your marina
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