Reconcile Every Transaction, from Customer Payments to Consignment Disbursements
Consolidate digital and cash payment reports, reconcile all sales and bank statements, and automate financial entries. Keep your financial records as polished as your collections, ensuring seamless operations and accurate reporting
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Digital & Cash Payment Consolidation
Combine sales data from digital and cash transactions into unified reports for comprehensive financial analysis and insights into consumer purchasing trends.
Transaction Reconciliation
Match transactions between point-of-sales, payment channels, and bank statements to ensure accurate financial records, reducing errors and discrepancies.
Disbursement & Sales Report Generation
Provide consignment partners with real-time sales reports from every store and instant disbursements, enhancing service and transparency.
Accounting Automation
Automatically generate and post financial entries for invoices and receipts, improving record accuracy and freeing up resources for strategic tasks.