Retail POS Hub icon Part of Retail POS Hub

Inventory & Stock Control

Per-store stock, counted properly, with a movement log that settles arguments.

Stock numbers are only useful if you trust them. Retail POS Hub tracks quantities per store and records every movement that changes them — sale, purchase, adjustment, transfer — with who did it and when.

Adjustments always carry a reason from a list you maintain: damage, loss, found stock, whatever your shop actually does. Stock reconciliation is a structured count: pick a store, count the shelves, enter the real quantities, and the system posts the differences rather than silently overwriting history. Transfers move goods between stores with both sides recorded.

Reports cover current available stock, products at or below their reorder level, products that went negative, and — for pharmacies and anything perishable — batch quantities with expiry dates.

Key Benefits

1

Quantities tracked per store, not as one blurred total

2

Adjustments require a reason from your own list

3

Structured stock takes that post the differences

4

Transfers between stores, recorded on both sides

5

Low-stock and oversold reports to catch problems early

6

Batch and expiry tracking on the higher plans

Use Cases

The quarterly stock take

Count a store section by section, enter what is really there, and let the system post and record the differences instead of quietly rewriting the numbers.

The product that went negative

The oversold report shows it; the movement log shows exactly which sale, receipt or adjustment sent it below zero.

Pharmacy expiry control

Receive stock in batches with expiry dates and pull the expiring-soon report before the shelf does it for you.

FAQ

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