Keep your accounting system in sync without manual exports
Your ERP shouldn't be the last to know what happened on the yard. ReSpark connects directly to the accounting systems your finance team already uses — no CSV exports, no copy-paste, no month-end fire drills.
What ReSpark changes about accounting integrations
The old way creates work. ReSpark replaces it.
Your yard and your books should agree — automatically.
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Settlements, invoices, and journal entries sync to QuickBooks Online with chart-of-accounts mapping.
- Full sync of settlements, invoices, and journal entries. Chart of accounts mapping. Trusted by hundreds of recyclers running QuickBooks today.
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Same integration depth on Desktop as on Online — no manual export files, no workarounds.
- Same integration depth as Online, for teams running Desktop. No manual export files. No workarounds.
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Sage Intacct, 200cloud, and Business Cloud Accounting — multi-entity and multi-currency ready.
- Support for Sage Intacct, 200cloud, and Business Cloud Accounting. Multi-entity and multi-currency capable for complex operations.
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Enterprise-grade NetSuite integration that pushes operational data straight into your GL — no middleware.
- Enterprise-grade integration for organizations running Oracle NetSuite. Push operational data directly into your GL without middleware.
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Connect yard activity to Microsoft Dynamics for teams standardized on the Microsoft stack.
- Connect yard activity to Dynamics for organizations that standardize on the Microsoft stack.
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Success and failure logs on every sync — surface issues immediately, not at month-end.
- Success and failure logs for every sync transaction.
- Surface issues immediately rather than at month-end.
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Native GL module with chart of accounts and double-entry journal entries — built in for teams that want it.
- Chart of accounts for organizations migrating toward ReSpark as primary accounting.
- Native general ledger for purchases and AP with double-entry journal entries.
- Multi-entity support for consolidation within a single instance.
Finance & Accounting
Finance & Accounting
Operational data flows directly to your books. Settlements, invoicing, and reporting that close the gap between what happened in the yard and what shows up in accounting.
AR/AP & Settlements
Vendor invoices & payouts
Invoicing & Payments
ACH, check & card processing
Multi-Entity & Intercompany
Consolidated multi-yard financials
Reporting & Analytics
Financial dashboards & drill-downs