BookSpree - Accounting

Enterprise-grade accounting and financial reporting.

App Code: 300 / 200

Key Capabilities

Double-entry bookkeeping with dynamic chart of accounts
Automated journal entries from billing and payroll
Bank reconciliation and cash management
Financial reporting (P&L, Balance Sheet, Trial Balance)
Transaction posting and reversal
Batch billing transactions

Technical Modules

Ledger & Journal

Retrieve Chart of Accountsaccspree/coa/get-accounts
Journalize Transactionaccspree/journal/journalize-transaction
Reverse Transactionaccspree/journal/reverse-transaction

Financial Reports

Get Profit & Lossbookspree/reports/get-pl-report
Get Balance Sheetbookspree/reports/get-balance-sheet
Get Trial Balancebookspree/reports/get-trial-balance

BookSpree Overview

BookSpree is the financial engine of the suite, providing a robust double-entry bookkeeping system.

Key Modules

  • **Chart of Accounts**: Customizable GL structure.
  • **Journal Entries**: Automated postings from billing and payroll modules.
  • **Accounts Receivable/Payable**: Real-time tracking of what you're owed and what you owe.
  • **Financial Reporting**: P&L, Balance Sheet, and Trial Balance reports.
  • Native Reconciliation

    All invoices from BillSpree and salary payments from RollSpree are automatically journalized into the correct ledgers, eliminating manual entry.

    Financial Reporting

    BookSpree provides real-time visibility into your business health.

    Standard Reports

  • **Profit & Loss (Income Statement)**: View revenue vs. expenses over time.
  • **Balance Sheet**: Snapshot of assets, liabilities, and equity.
  • **Trial Balance**: Verification of ledger accuracy.
  • Custom Reports

    Build custom reports using our reporting engine to track specific KPIs or department-level performance.

    BookSpree - Accounting API Reference

    Complete technical documentation and interactive API explorer for BookSpree - Accounting.

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