A point of sale fast and connected to the ERP
Sell in seconds, accept any payment format and close the register without surprises. And since it is integrated with the warehouse, each sale deducts stock instantly.
Sell fast, close clean
Designed for the day-to-day of retail: agile at the point of sale and precise at closing.
Sales terminal
A screen designed to sell fast: catalog at a glance, search by name or code and checkout in seconds.
Receipts
Issue sales receipts with tax calculation and returns. Convert a receipt into an invoice when you need to.
Cash sessions
Open and close cash sessions with float counting, deposits and withdrawals. Each shift is registered with its owner.
Z-report
Generate the end-of-day close (Z) with the breakdown by payment method, taxes and daily or shift totals.
Cash registers
Manage several registers and physical terminals. Each one with its session, its users and its movement traceability.
Repeat sale
Repeat frequent sales in one tap and speed up service during rush hours without searching for the product again.
Reprint receipts
Reprint any historical receipt and review the detail of operations from past sessions at any time.
The cash shift, step by step
From opening the register to the final Z-report.
Open the register
You start a cash session with the opening float and the terminal ready to sell.
Sell
You add products to the receipt by catalog, search or scan. Calculations on the spot.
Collect
You choose the payment method, register the payment and the receipt is printed or sent.
Close session and Z
When closing the shift you generate the Z-report with the reconciliation and the day’s totals.
The POS that talks to your warehouse
Selling here means updating inventory, invoicing and the register at the same time.
Ideal for the Generic ERP vertical. Related to warehouse and invoicing.
Questions about the POS
What concerns retailers most before digitizing the register.
Does it manage multiple registers?
Yes. You can configure as many registers and terminals as you need, each with its users, sessions and permissions. Each terminal keeps its own reconciliation and closings are independent, so you control several simultaneous points of sale.
Does it reduce stock automatically?
That is right, and it is one of its great advantages. Each sale made at the POS automatically deducts stock from the connected warehouse and generates the corresponding outbound movement. There is no need to pass reports or reconcile inventory by hand at the end of the day.
Does it generate a Z-report?
Yes. When closing the cash session you generate the Z-report with the full breakdown: sales by family, payment methods, tax bases and amounts and shift or day totals. It is the closing you need to reconcile the register and the accounting.
Modernize your point of sale
Sell faster and keep the register to the millimeter, with stock always reconciled.
Try for free