Multi-store stock, daily Z-reads rolling straight into the Sales Book, and BIR-ready returns generated from real transactions. No nightly export. No shrinkage hiding in a spreadsheet.
If two or more of these describe your current week, the rest of this page is worth your time.
Stock by branch in real time. Transfers, returns, and write-offs all post to the GL with moving-average cost. No nightly batch.
Daily Z-read totals flow into the ledger and the BIR Sales Book automatically. The number on the return matches the till.
Cycle counts compare expected to actual on hand and flag variances by SKU and branch, before the auditor finds them.
PH compliance is in active development. These are the artefacts we are building toward, generated from the same transactions you already post.