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Module for controllers and accountants.
Module for controllers and accountants. Delivers automated month-end close and e-commerce revenue reconciliation across orders, payouts, fees, refunds, and bank deposits. Includes ASC 606 revenue recognition, deferred revenue tracking, and ERP-ready journal entries for NetSuite, QuickBooks, and Xero.
Platforms, integrations, and language support vary by plan and region. Confirm final requirements with the vendor.
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Compliance claims are normalized from current vendor documentation and independently reviewed by SOTA2.