The system keeps improving. These are the latest additions that make daily operations faster, clearer, and better connected across teams and branches.
Group your catalog by brand alongside categories and sub-categories. Assign a brand on any product, then filter, report, and export by it.
Adjustments are now proper documents with a reference number, branch, date, and multiple product lines — each line costed from your actual purchase batches.
Edit or delete a wastage or adjustment and the stock moves back with it. Deleted documents go to a recycle bin and can be restored in full.
Define your own units of measure and product variations, then attach them to products. Both stay optional, so simple catalogs are unaffected.
Excel exports now stream row by row instead of building the whole file in memory, so big product, sales, and purchase exports finish without stalling the server.
A full counter terminal inside the same system: scan or search, take payment, deduct branch stock live, and reconcile the cash drawer at the end of the shift.