BizDesk
Cashiers sell, count cash and close shifts on the Shop platform. Owners, managers and accountants run products, purchasing, stock and financial reporting on the Office platform. Every transaction lands in the same database, instantly.
Staff accounts are created by an administrator under Office → User management.
Barcode scanning, discounts, tax, split payments, holds, refunds, shifts and cash reconciliation.
Per-branch stock on hand, receiving, adjustments, transfers, damages and cycle counts.
KPIs, purchasing, suppliers, loyalty, expenses, profit and tax reporting across branches.