Platform · Operate
One screen for the trading day
The outlet’s day is one number to head office and about forty decisions to the person running it. Both are true, and both belong in the same place.
Today
One screenDay takings · 14 Mar
₹ 62,000
Royalty accrued
₹ 3,720
- UPI ₹ 38,420
- Card ₹ 14,900
- Cash ₹ 8,680
What breaks without it
The day’s number is messaged to a group and copied into a sheet on Monday. Nobody can reconcile it later, and the royalty computed from it inherits every typo.
How it works
Outlets & daily sales, step by step
Declare the day
Sales, tender split and cash-up on one screen, with the day as the canonical record and shifts and transactions as its evidence. A blind cash count means the count is a check, not a formality.
Run the floor
Staff, shifts and leave as a ledger. One open session per person is enforced in the database, so two shifts cannot be open at once no matter how the app is used.
See the network
Head office sees the same days rolled up across outlets — which units reported, which have not, and what the week looks like.
Feed the month
The declared day is what royalty is computed from. The number the outlet reported and the number the brand billed are the same number, with one audit trail behind both.
What you get
- A trading-day record per outlet with tender split
- A staff and shift ledger with enforced single sessions
- A network rollup of who reported and who has not
- The basis the month’s royalty is computed from
Questions people ask
- Does this replace our POS?
- No. The trading day is declared — it records what the outlet takes and how, and can be reconciled against a POS export. It is deliberately not a till system.
- How are outlets priced?
- Outlet records are unlimited and free; you pay per outlet that has its own logins. Staff records inside an outlet are unlimited.
- Can outlet staff see other outlets?
- No. Scope is enforced by the access kernel in the API, not by hiding menu items in the interface.
- What if an outlet does not report a day?
- The gap is visible in the network rollup rather than discovered at month end, which is when a missing day becomes a royalty dispute.
Who this is for
Seats that use it daily
Next on the chain
Royalty
Runs, statements, adjustments and two-tier master franchise clearing.
See outlets & daily sales on your own data
Set up a workspace in minutes, or ask us to walk through this module with your network in mind.