OSTENDO

One systemComplete operations

Accounting Integrations

Seamlessly connect Ostendo with your accounting system for automated financial management

QuickBooks Integration

Bi-directional integration with QuickBooks Online for seamless financial data synchronization.

  • Full general ledger journal posting for all financial transactions
  • 2-way Customer Payments and application to Invoices
  • Detailed or summarised journal postings options
  • Supplier invoice posting
  • Simple or advanced ledger code mapping
  • Ability to post to classes for segmented ledger reporting
  • Full customer and supplier synchronisation
  • Full support for multi-currency
  • Automated background integration with frequency definition

Xero Integration

Cloud-based integration with Xero for real-time financial visibility and automated accounting workflows.

  • Full general ledger journal posting for all financial transactions
  • 2-way Customer payments and application to Invoices
  • Detailed or summarised journal postings options
  • Supplier invoice posting
  • Simple or advanced ledger code mapping
  • Ability to post to tracking categories and options for segmented ledger reporting
  • Full customer and supplier synchronisation
  • Full support for multi-currency
  • Automated background integration with frequency definition

MYOB Integration

Full integration with MYOB AccountRight for Australian and New Zealand businesses.

  • Full general ledger journal posting for all financial transactions
  • 2-way Customer payments and application to Invoices
  • Detailed or summarised journal postings options
  • Supplier invoice posting
  • Simple or advanced ledger code mapping
  • Ability to post to job numbers for segmented ledger reporting
  • Full customer and supplier synchronisation
  • Full support for multi-currency
  • Automated background integration with frequency definition

MoneyWorks Integration

Comprehensive integration with MoneyWorks for businesses requiring powerful accounting with local support.

  • Full general ledger journal posting for all financial transactions
  • 2-way Customer Payments and application to Invoices
  • Detailed or summarised journal postings options
  • Supplier invoice posting
  • Simple or advanced ledger code mapping
  • Full customer and supplier synchronisation
  • Full support for multi-currency
  • Automated background integration with frequency definition

Reckon Accounts Integration

Full integration with Reckon Accounts (formerly QuickBooks) for Australian and New Zealand businesses.

  • Both Desktop and hosted versions supported
  • Full general ledger journal posting for all financial transactions
  • Detailed or summarised journal postings options
  • Supplier invoice posting
  • Simple or advanced ledger code mapping
  • Supplier synchronisation
  • Full support for multi-currency

NetSuite Integration

Enterprise-grade integration with Oracle NetSuite for large-scale operations. Released in early 2026.

  • Full general ledger journal posting for all financial transactions
  • 2-way Customer Payments and application to Invoices
  • Detailed or summarised journal postings options
  • Supplier invoice posting
  • Simple or advanced ledger code mapping
  • Ability to post to department, class, and location for segmented ledger reporting
  • Full customer and supplier synchronisation
  • Full support for multi-currency
  • Automated background integration with frequency definition

Custom Accounting Systems

Our flexible API allows integration with virtually any accounting system.

  • RESTful API access
  • Custom mapping configuration
  • Scheduled data synchronization
  • Professional services support

Integration Setup Process

Simple, guided setup gets you connected in hours, not weeks

1

Connection Setup

Configure secure connection between Ostendo and your accounting system using OAuth or API credentials.

2

Account Mapping

Map your chart of accounts, tax codes, and other financial dimensions between systems.

3

Data Sync Rules

Define which transactions sync automatically and configure approval workflows for financial data.

4

Testing & Validation

Test integration with sample transactions to ensure accurate data flow before going live.

5

Go Live

Activate real-time synchronization and monitor initial transactions with our support team.

6

Ongoing Monitoring

Built-in monitoring and alerts ensure continuous reliable integration performance.