SP Books is the accounting module that closes the loop on SP Suite. Every invoice, port-call settlement and cash movement generated in operations becomes a journal entry — no re-keying.
What we are building
Not just another general ledger. It is the piece that ties consignment, transport and invoicing into your chart of accounts and tax filings.
Every invoice issued or received in SP Billing generates the journal entry and its lines — no manual bridge.
Spanish PGC by default, with analytic accounts by vessel, port call, file or customer. Multi-company from day one.
VAT settlements, Spanish 303/390 forms, withholdings and SII ready to file — no exporting to Excel.
Bank reconciliations, depreciation and accruals run automatically. Closing stops being a sprint.
Why we are doing this
Most of our customers run SP Suite today and then dump data into an external accounting ERP — with re-keying, mismatches and weeks lost on every close. SP Books removes that border.
We are designing the module with real customers in shipping and logistics. If you want to join the pilot program, drop us a line.
I want to join the pilotPróximamente
Tres piezas en las que estamos trabajando ahora mismo. Las verás aterrizar en SP Suite antes de que te enteres.
SP Suite propondrá la mejor combinación de vehículos, conductores y rutas para cada albarán. Dejas de decidir a mano cada mañana.
Las facturas de proveedor se leen solas y entran al circuito. Se acabó teclear importes, conceptos y bases imponibles.
El módulo contable de SP Suite. De la operativa al asiento y del asiento al balance, sin pasar por un sistema externo.