万视智运
CORE CAPABILITY · LABELS & LEDGERS

Tie the money to the shipments

Settler accounts and label ledgers complete the last mile of the finance loop. Some modules are still in active development and roll out continuously — included in your plan automatically when released.

Settler money ledger

One money ledger centered on the settler.

  • Unified settler profiles, groups and binding relationships
  • Balance ledger and bills: top-ups, consumption and adjustments itemized
  • Bank-statement import with automatic reconciliation and configurable statement templates
  • Payment account management and business cost entry

Shipping label ledger

Labels are real money — they get their own ledger.

  • Label prices with top-up / consumption flows
  • Actual-balance reconciliation: system books vs. physical stock at a glance
  • Label reports with dual-metric alerts

Audit & compliance

Every change leaves a trail.

  • Operation audit: who changed what, and when
  • Sensitive data masked at rest, exports controlled
Note: parts of the finance module are under active development and are included automatically as they ship.

FAQ

Is the finance management module available today?

Settler billing and shipping-label ledgers are under construction and will join the current edition when released; accounting, reports and pricing are fully available now.

What will the label ledger solve?

It aims to reconcile label top-ups, consumption and actual balances into one ledger linked with waybill accounting (under construction; final scope subject to release).

When will these capabilities launch?

Please contact an account manager via the Get Started page; official release announcements prevail.

Start by getting settler books in order

Begin with balance ledgers and grow into the full finance loop.

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