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Accounting

Every posting knows which car it came from.

Double-entry accounting and tax records built into the dealership, so a document carries its vehicle and order, or sends that context to your own ledger, and month-end becomes a view rather than an investigation.

A code-native posting list for one sample Octavia: purchase, transport and VAT, preparation, sale and insurance commission, each retaining the source module or work order, followed by the concept gross margin. Sample data, not a live ledger or measured result.

Best fit
Accountant · Site manager · CFO or controller · External bookkeeper
Operational job
Keep every sales, workshop, stock, bank and commission posting tied to its source vehicle, branch and order so finance can match payments, close entities and answer vehicle-margin questions without reconstruction.
What you get
Postings and payment matches traceable to the vehicle, order and legal entity.

The problem

Accounting usually finds out last, and separately.

Documents arrive in a folder, get retyped into another program and lose the connection to the car and order that produced them. Whether you use Omnetic Accounting or keep your own ledger, the posting should carry that context from the start.

1

Less re-entry for the accountant

A cloud interface keeps documents and context together, including for colleagues who create a document but are not accountants.

2

Or communicate with your ledger

A local statutory ledger can remain in place while receiving clean postings through the agreed market integration.

3

Accounted at the level you work

Branch, order or minor job remains on the record, so a figure can be opened to the business event inside it.

The workflow

Every document reaches a ledger you can trust

Five stages from a business event to a statutory filing and management view. Select one.

Invoices issued and read receipts

Issue invoices from the deal, send them from the system and see delivery or read status where the channel supports it.

Pricelist items drop onto the document without retyping, and the vehicle and order remain attached.

In
A signed sale of the Octavia
Omnetic
Issues the invoice from the deal, sends it and records the available delivery status
Out
A document attached to the car, not a PDF in an outbox

Capabilities

Everything clear and in one place

The twelve accounting capabilities the source names, grouped by the job they do.

Accounting

Costs and revenues followed online.

Tax records

Income, expenditure, income tax and a cash-flow view.

Double-entry & tax records

Both models supported for the relevant legal form.

Branch, order or job level

Account at the dimension where the question is asked.

Invoicing

Issue, send and retain available read status.

Bank & cash register

Connected or imported movements and payment exports.

Payment pairing

Documents matched to payments with exceptions surfaced.

Pricelist

Items placed on documents without retyping.

Reports

Accounting outputs in the required configured format.

Statutory declarations

Balance sheet, P&L, cash ledger, VAT, inspection reports and Intrastat where supported.

External ledger link

Context-rich postings sent to a supported local program.

Cloud, anytime

Online access with vehicle and order context on documents.

By role

Who this changes the close for

Accountant

Receives documents already tied to a branch, order and vehicle, then matches payments instead of typing them.

Site manager

Can open a figure in the site's view and see the deals underneath it.

CFO or controller

Closes across configured entities and currencies without asking sites for separate reconciliations.

External bookkeeper

Receives clean postings in a supported program's agreed format instead of a folder of scans.

Platform & data connections

Where the postings come from

Used & New Car Sales

Purchase and sales invoices, deposits and stock movements.

Workshop & Warehouse

Labour, parts consumption and stock valuation, including corrections.

Time-keeping

Labour cost per job and the configured inputs payroll needs.

Open Platform

Bank connections and exports to a supported external ledger, configured per market.

System relationship

Accounting in the connected product system

Sales, service, time and external systems write events with their context intact; Accounting turns them into one ledger or forwards them to the configured statutory system.

Outcome & proof

What we can and cannot claim yet

1

Less re-entry

A document starts with its vehicle, branch and order, so finance does not have to reconstruct the same context.

2

Margin at vehicle level

Costs and revenue remain tied to one car and can be opened down to the source document.

3

Payment matching

Supported bank movements are paired with open documents while unresolved items stay visible.

4

Local rules stay explicit

Forms, certification and closed-period behaviour are confirmed per market and ledger.

Implementation & availability

Secondary product demonstration

Margin for one vehicle

One sample vehicle joins acquisition, preparation, sale and commission in one traceable accounting trail.

Review Accounting
Octavia · accounting trailsample data
Purchase invoice

Sourcing · 476,900

paid
Transport & VAT

Carvago BUY · 31,500

paid
Preparation

Work order 4471 · 4,000

internal
Sales invoice

Used Car Sales · 589,000

matched

Costs

512,400

Gross margin

78,020

Pick a car you sold last month

We will map every document and posting it generated, then show how the vehicle and order context changes the answer to what it earned.

See it in practice
  1. The vehicle

    One completed purchase-to-sale record and its work orders.

  2. The documents

    The invoices, deposits, labour and parts postings it generated.

  3. The ledger

    The statutory program, banks and entities that need to remain in scope.