Industries
Retail
Point of sale, stock accuracy across outlets and supplier credit in one system, so the shop floor and the back office finally agree.
The work
Accurate stock is the whole game.
We implement point of sale, inventory and purchasing together, because retail problems are almost never a point of sale problem in isolation. Sales move stock, stock drives reorder, reorder depends on supplier terms, and all three post to one ledger.
For multi-outlet businesses we set up per-location stock, transfers between outlets and consolidated reporting, so head office sees one truth instead of four returns.
What we hear
The problems that bring retail businesses to us.
Stock figures nobody trusts
Shrinkage, unrecorded transfers and manual adjustments mean the system number is treated as a suggestion.
Reordering by memory
Fast movers run out and slow movers tie up cash, because there is no reorder level anyone maintains.
Outlets that report differently
Every branch has its own spreadsheet format and head office spends the first week of the month normalising them.
Supplier credit tracked on paper
Nobody can say with confidence what is owed to whom and when it falls due.
What changes
What the business looks like afterwards.
One stock truth
Per-outlet stock with transfers, counts and variance investigation, visible from head office in real time.
Reorder discipline
Reorder levels and lead times per item and location, so purchasing is triggered by data rather than a phone call.
Clean supplier ledger
Purchase orders, receipts and invoices matched, with ageing that tells you what is genuinely due.
Run a retail business?
Book a working session and we will walk your actual process, not a generic demo.