- Reads your chart of accounts into Vori, so you map POS data to your real accounts instead of typing account numbers from memory.
- Pushes a daily sales journal entry built from your End of Day data, broken out by department.
- Pushes approved vendor invoices as bills, so they’re ready to pay inside your accounting system.
Supported systems
Vori connects to three accounting systems today:
A banner can have one accounting system connected at a time. The setup and daily workflow are the same across all three. Only the connection step and a few naming details differ, which each connection article covers.
How the pieces fit together
Once you’re connected, the rest of the workflow is identical no matter which system you use:- Set up your chart of accounts and GL mapping. Map Vori’s sales, tenders, and departments to your accounts. You do this once, then reuse it every day.
- Push your daily sales journal entry. Export your End of Day totals as one balanced journal entry per store, per day.
- Review and sync invoices as bills. Approve invoices your staff have already processed, and Vori posts them as bills you pay in your accounting system.
- Errors, retries, and sync history. See what Vori catches before anything posts, and where every sync is recorded.
How data flows between Vori and your accounting system
The integration is deliberately one-way for financial transactions. Vori pushes; your accounting system owns what it receives.What Vori reads
Reference data only. Vori never reads, alters, or reports on your transactions.What Vori writes
Once Vori posts an entry, your accounting system owns it. Vori does not see bill payments, reconciliations, or any edits you make after the fact.