Product
Retail accounting software that posts itself
Most retail accounting is re-typing what already happened at the counter. RetailPOS posts every operational document to the books automatically, so your accountant reviews entries instead of creating them.
Software view
Accounting as a working product surface
This page leads with the actual operating surface: the screens, controls and connected data the team uses in daily retail work.
- Auto-posted ledgersSales, purchases, receipts and payments post as they happen.
- Receivables & payablesParty ledgers, ageing and outstanding follow-ups.
- GST-ready reportsRegisters and summaries structured for filing preparation.
Accounting · Auto-posted entries
Balanced- Counter salesRevenue2,051.05
- GST outputTax100.05
- Inventory valueStock-1,426.00
- Cash / UPIReceipt2,051.05
Sales, taxes, stock value and receipts stay connected to the same source document.
Illustrative RetailPOS interface
Capabilities
What the product includes
Auto-posted ledgers
Sales, purchases, receipts and payments post as they happen.
Receivables & payables
Party ledgers, ageing and outstanding follow-ups.
GST-ready reports
Registers and summaries structured for filing preparation.
Reconciliation
Bank, cash and payment-gateway reconciliation against bills.
FAQ
Accounting questions, answered directly
Related
Explore connected capabilities
- FinanceCash and bank management, payment scheduling, budgets and financial controls for retail — fed automatically by billing, purchasing and payroll.Learn more
- Billing SoftwareGST-compliant retail and wholesale billing: tax invoices, credit notes, quotations, party-wise pricing and credit control, connected to stock and accounts.Learn more
- AccountingDouble-entry ledgers posted automatically from retail operations, with GST registers, party ledgers, trial balance and reconciliation tools.Learn more
See it running on your own products
A 30-minute walkthrough with your items, your workflows and your questions.