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
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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