ERP for point of sale.
Registers across branches where money and stock leave at once, shifts that close on a Z-report, and prices that change by branch and by document: Essentix ties every till to the ledger and the shelf.
Request a trialThe work you run
What a multi-branch retailer carries across a trading day.
- Registers across branches
- Every till is a point where cash, card, stock, and tax all move in the same second.
- Z-report close
- Each register closes its shift on a Z-report, and those totals have to reach the books cleanly.
- Stock sync
- A sale at the counter has to move stock at that branch immediately, not in an overnight batch.
- Pricing and promotions
- Prices, discounts, and offers change by document and by branch, and the rules cannot live in the cashier's head.
How Essentix runs it
The same domains you saw in Features, mapped onto how a retailer works.
- Register sales
- Each register records sales, tax, and payment types at the counter. Every line links to the branch and the item that was sold. Runs inPoint of sale
- Z-report posting
- Closing a register posts its Z-report totals into the ledger as one journal per shift. Cash, card, and tax split out on their own. Runs inAccounting
- Per-branch stock sync
- A counter sale depletes stock at that branch in the same movement. Branch counts stay true without a nightly reconciliation. Runs inInventory
- Pricing and promotions
- Prices, discounts, and offers apply per document at the point of sale. The rules live in the system, not on a note by the till. Runs inTrading
- Cashier shifts
- Cashiers and their shifts sit in HR, and each till ties to who was on it. A variance traces to a named shift, not an anonymous drawer. Runs inHuman resources
See it with your retail data.
Leave your details and we will prepare a trial using registers, Z-reports, and branch stock that look like yours.
Request a trial