Vantage Point
Vantage Point
MODULES/04 / ACCOUNTING

One ledger. Zero re-keying.

A full double-entry general ledger that the rest of the system posts into automatically: from the till, the warehouse and the payroll run.

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Accounting in Vantage Point
What's inside

The books, kept as you trade.

Most of your journal writes itself. You review, reconcile and close instead of capturing.

/01
Chart of accounts
A Zimbabwe-ready chart seeded out of the box: cash by currency, EcoCash, OneMoney, InnBucks, VAT accounts and more.
/02
Journal entries
Every posting, manual and automatic, numbered and drillable, from POS sales to depreciation runs.
/03
Bank reconciliation
Import a statement, match it to ledger entries, book charges and interest, certify at zero difference.
/04
Multi-currency & FX revaluation
USD and ZiG side by side, with FX revaluation keeping foreign balances true at period end.
/05
Periods & opening balances
Accounting periods, opening balances and backfill tools for a clean take-on from your old system.
/06
Expenses & mappings
Day-to-day expenses and account mappings that route each transaction type to the right account.
In the product
Every posting to the ledger, drillable
·Every posting to the ledger, drillable
Statement-to-ledger bank reconciliation
·Statement-to-ledger bank reconciliation

The rest of the system.

ONE LEDGER UNDERNEATH IT ALL

Take the high ground.

Set up your first store, till and ledger in an afternoon.