Platform / Accounts & GL

The general ledger that bills the job and posts itself

JAIX Accounts is a full general ledger built into the freight platform. Billing is generated from the consignment itself and posts straight to the ledger, so operations and finance run on one system, with no re-keying and no month-end reconciliation between two packages.

Trusted by Australian freight operators for 40 years

JAIX / ACCOUNTS & GL ENTITY ONE / HEAD OFFICE GENERAL LEDGER ACCOUNT General Freight Income 1.1002 Profit and loss Credit Tax code OUT Monthly totals Transactions Account totals ACTUAL VS BUDGET / FY Actual Budget 180k 120k 60k 0 FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC JAN LATEST POSTINGS / FROM OPERATIONS INV 88231 Posted from despatch + $1,284.50 2 min ago INV 88198 Posted from despatch + $2,146.80 14 min ago VARIANCE TO BUDGET SEP $193,652 +43.1% OCT $163,853 +15.6% NOV $120,656 -5.2% DEC $29,190 -13.8% JAN $23,766 -20.8% FEB $181,953 +24.6% FULL GL, IN THE PLATFORM Debtors, creditors, assets and payroll feeds, all posted from the same job record. No re-keying.
Invoice & GL

From the job to the ledger, nothing re-keyed.

The charges captured on the consignment raise the invoice and post to the general ledger as one balanced journal. Press post and watch the same numbers land in the accounts.

Accounts / Head Office Charges captured on the job, ready to post
From the job
CN-48211 Coastline 3PL Delivered
ADL to MEL · 3 plt · POD 14:52
Freight, line haul1.10021,840.00
Fuel levy1.1010175.00
GST 10%4.0300201.50
Invoice total $2,216.50
General ledger
3.0104Debtor ControlDr
184,210.00
1.1002General Freight IncomeCr
1,248,640.00
1.1010Fuel Levy RecoveredCr
96,300.00
4.0300GST CollectedCr
214,880.00
Demo data. One journal, both sides.
The shift

Most carriers run accounts in a second system. JAIX runs them in one.

The old way
  • Job data re-keyed from the TMS into Xero or MYOB
  • Invoices built by hand from run sheets and rate cards
  • Subcontractor pay reconciled on spreadsheets
  • Each business in the group closed off separately
With JAIX
  • Charges post to the built-in ledger as the job completes
  • Invoices generated from the consignment, not retyped
  • Subcontractor payments run from the same job data
  • Multiple entities consolidated into one set of books
Built-in general ledger

The accounts are part of the platform, not bolted on.

This is the difference between JAIX and a TMS wired to a separate accounting package, so it gets the most room on the page.

Core Invoicing and posting

Every job bills itself and posts to the books

How long does a finished job take to become a correct, posted invoice?

When a consignment is delivered, its charges are already calculated. JAIX raises the invoice from that record and posts it to the general ledger, so the data captured at booking is the data that bills the job and updates the accounts. Finance is not retyping run sheets or chasing despatch for numbers.

1 ledger. Billed once, posted once, with no export between systems

Job delivered 14:52
Charges calculated $2,015
Invoice raised INV-4822
Posted to GL AR updated
Statement Ready
Around the core

More of the finance job, same record

AR 30 / 60 / 90
Receivables and collections

See what is owed, and chase it on time

Where is the cash that has already been earned?

Live AR ageing sits against every customer and invoice, so collections work from current numbers, not a month-old export.

AR visible to the day
SUBBIES 12 runs
Payables and subcontractor pay

Pay subbies from the job they ran

How much time goes into reconciling subcontractor pay?

Subcontractor costs sit against the consignment they belong to, so payment runs and cost recoveries reconcile to the job, not a separate sheet.

1 source for cost and pay
ENTITIES 3 sets of books
Multi-entity and audit

Every business in the group, one close

How long does consolidation take at month-end?

Run multiple entities in one system and consolidate P&L across the group, with an audit-ready trail behind every posting.

audit-ready by design
Proof

"Finance and operations finally work off the same numbers. Nothing is typed twice, and month-end stopped being a reconciliation hunt."

Finance manager

100+
Australian implementations
40yr
building freight software
1
set of books across the group
0
exports to a separate accounts system
De Bruyn's CTI Logistics Land Transport

Bring your month-end. We will show you the close in JAIX.

A specialist walks finance and operations through one ledger, from the job to the BAS. No scripted slide tour, no obligation.

Request a tailored demo