Product engine
Reporting & Accounting
An engine for the accounting and reporting side of the stack. It posts each transaction to the general ledger, computes profit and loss, breaks margin down by client and partner, reconciles the ledger against your partner records, and pushes the result into the accounting systems you already run, all on the same ledger as the rest of the stack.
What it includes
- Profitability analytics across your products and partners.
- P&L computation from the postings on the ledger.
- A GL posting engine that books each transaction.
- Reporting dashboards that read the system of record.
- A reconciliation engine that matches the ledger against partner records.
- ERP integration into the systems you keep your books in (Tally, Odoo or SAP).
On one ledger with the rest of the stack
The general ledger and the P&L are computed from the very postings the product engines write as money moves, not re-keyed or imported after the fact. The books and the operating ledger are one set of records: a balance on a dashboard, a margin line in the P&L, and the entry that authorized the transaction all trace to the same posting, so close and audit work from the system that actually moved the money.
From there the engine syncs the result outward into the accounting system you already run (Tally, Odoo or SAP), mapped through your chart of accounts and posting rules on the cadence you set. Your finance team keeps its existing books of record; GSOS feeds them the entries rather than asking you to reconcile two ledgers.