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Trust Accounting
Vesta complies with all NSW Fair Trading Trust Account and Audit requirements and is ready to supercharge businesses at any scale.
Accounting
Live ledgers for trust accounts, managements, tenant and suppliers
Bank reconciliation toolkit
Management and trust journals
Automatic receipting from bank statement files
Integration with leading Australian banks
Simple month end, with any-time previews and mid-month payments
Receipting
Initial rent, rent, outgoing, trust receipts and holding deposits
Disbursements
On-demand & batch disbursements
Automatically scanned disbursements and invoice processing from uploads
BPAY and banking integration
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