One counter or twenty, one set of books.
Orbital POS bills in seconds and every sale flows to shared inventory and accounting — so multiple stores reconcile to one clean set of numbers.
See the full platform →What breaks when the counter and the books disagree
POS is separate from accounting
Sales ring up in one system and get re-entered into the books later — if at all — so the numbers never quite match.
Stock is per store, in silos
You cannot see what is where, and moving stock between outlets is a phone call and a guess.
Day-end never ties out
Cash, card and UPI totals are reconciled by hand at closing, and small differences pile up.
Pricing drifts across stores
A price change at one outlet does not reach the others, so the same item sells for different amounts.
Sell at the counter, reconcile in the books — automatically
Every sale, return and transfer posts once and shows up everywhere it should.
Fast counter billing
Ring up sales in seconds with GST, discounts and multiple tender types — UPI, card and cash.
One set of books
Every outlet rolls up to shared accounting, so consolidated numbers are always live.
Stock across outlets
See stock by store and move it with proper transfers instead of phone calls and guesses.
Auto reconciliation
Cash, card and UPI tie out at closing, with a clean day-end summary per store.
Customers & loyalty
Recognise repeat buyers across stores and keep their history in one place.
GST & double-entry books
Sales and returns post to a proper general ledger — GST-ready, per outlet and consolidated.
Put every store on one clean set of numbers
Start free, set up your first outlet, and take a POS sale end to end today.
See pricing →