The Connected Retail Platform

Run multi-store retail with confidence

One platform for commissions, point of sale, inventory, workforce and cash — reconciled against each other, so the month settles once.

No credit card required · Every module, every store, for the whole trial

Commission recon — July 2026 SETTLED STORE COMPUTED PAID STATUS Great Neck $52,410$52,410 AGREES Yonkers $48,930$44,120 SHORT $4,810 Hempstead $44,180$44,180 AGREES Jamaica $46,140$43,497 SHORT $2,643 Total $191,660 $184,207 GAP $7,453 RECOVERED TO DATE $5,120 appealed and paid · 22 of 61 lines closed COMMISSION BY STORE · COMPUTED VS PAID Great Neck Yonkers Hempstead Jamaica UNEXPLAINED, ITEMISED 61 lines · rate mismatch, missing tier bonus, attach short-paid — each appealable
16 modules on one spine Multi-company & multi-market Carrier-neutral by configuration iOS & Android for the frontline
$184,207
Carrier statement
what they say they paid
$191,660
Computed from sales
what the activations earned
$7,453
Unexplained
across 61 lines, itemised
$5,120
Recovered to date
appealed and paid

One period, four stores, one carrier. Illustrative figures from sample data — not a customer's numbers.

What we do

Bringing clarity to a month that never adds up

Five records describe the same month and rarely agree. Each of these is one of the places the disagreement is settled.

Commission intelligence

Recompute what the carrier owes you

Every residual, commission, SPIFF and reimbursement recalculated from carrier data — down to the rep, store and line — then compared against what actually arrived. Short-paid lines are itemised, not averaged away.

See the recon →
Commission recon · 2026-07
Port-in activations312 · $5,616Agrees
Upgrades198 · $1,584Agrees
Accessory attach$2,140Short $890
Tier bonus$3,000Missing
Daily closing & cash

The drawer, the register and the deposit

End-of-day cash, tender and deposit reconciliation, verified up the chain. A close that balances on paper but not at the bank is caught the same week, not the following month.

See daily closing →
Daily close · 2026-07-18
Cash counted$3,412.50
Card settled$11,804.22
Expected$15,216.72
Variance$0.00Balanced
Workforce & payroll

Overtime while the week can still change

Scheduling, time clock, time off and coverage across the fleet, with hours measured against budget mid-week. The same hours feed payroll, so the number the manager watched is the number that pays.

See the hours budget →
Hours budget · week of 07-13
Great Neck166 / 168
Yonkers151 / 140
Hempstead124 / 126
Jamaica138 / 140
Finance & P&L

A P&L built from operations, not re-keyed

Gross profit, expenses, P&L and balance sheet drawn from live operating data across every company and market. The commission line on the P&L is the same figure the engine computed.

See finance →
P&L · Q3 · all markets
Commission revenue$574,880
Hardware GP$188,214
Labour−$131,482
Operating profit$302,117+8.4%
See it in action

One month, end to end

Five sources land, the engine reconciles them, and every report downstream reads the same settled figures. Watch it move.

Period 2026-07 · live walkthrough
SOURCES LAND THE ENGINE SETTLES EVERYTHING READS FROM IT Carrier statements The register Inventory & invoices Schedule & time clock Cash drawer RECON ENGINE UNEXPLAINED $7,453 · 61 lines Rep incentive report Payroll run P&L — commission line Store dashboards

Vector animation, not a recording — the figures are the same sample period used throughout this page.

The platform

Everything you need to run multi-store retail

From the counter to the carrier statement — sixteen modules, one set of data. Turn on what you need now; add the rest when you are ready.

Click any card to see what it covers.

How it works

Land it, settle it, run everything off the result

The order is real — nothing downstream is trustworthy until the sources have landed and been reconciled.

Sources land on a schedule

Carrier portals, payment processors, distributors and your own uploads arrive without anyone downloading a file or re-keying a spreadsheet.

  • Scheduled pulls rather than manual exports
  • Every feed registered with its lineage
  • Late or missing sources are flagged, not assumed
  • Your own uploads sit alongside automated feeds
Source status · 2026-07
Carrier commission statementLanded
Carrier residual fileLanded
Processor settlementLanded
Distributor invoices2 days late
Store uploads4 of 4
Who it's for

Complex operations. One connected platform.

Built for prepaid and postpaid wireless retail, and shaped by how dealers actually grow.

Single-store dealers

Get off spreadsheets without buying an enterprise rollout. Start with commission intelligence and add modules as the store grows.

Multi-store operators

Compare stores on the same figures, budget hours across the fleet, and see which locations are actually carrying the market.

Multi-company dealers

Run several companies and markets side by side — kept apart in the data, rolled up when you want the whole picture.

Master agents

Reconcile what the carrier paid against what the sub-dealers earned, and settle both from the same computation.

Multi-carrier dealers

Carriers, categories and pay rules are configuration, not code — so carrying a second brand is a setup task, not a rebuild.

Operators under audit

Access logs, approval trails and reconciliation reports mean any number on any report can be traced back to the source that produced it.

Every seat

Different roles. The same truth.

Access is scoped down to the report and the column, so everyone works from the same settled figures without seeing each other's.

Owner

The whole estate

  • P&L across every company and market
  • Commission recovered and still outstanding
  • Store-by-store profitability on one basis
Market manager

Their stores

  • Targets against pace, by store and rep
  • Hours budget and labour cost mid-week
  • Approvals routed to them, with the thread attached
Store manager

The floor

  • Daily close, tender and deposit
  • Schedule, swaps and coverage
  • Stock on hand and what is aging
Sales rep

Their own earnings

  • Clock in and sell from the phone
  • Incentive breakdown line by line, before payday
  • Targets and coaching on the same numbers
Payroll & HR

People and pay

  • Approved hours flow straight into the run
  • Earned incentive already computed
  • Onboarding and compliance records in one place
Finance

The books

  • P&L built from operations, not re-keyed
  • Commission bookings tied to the computation
  • Company and entity rollups that reconcile
Integrations

Built to read the systems you already have

Feeds are configured per organisation and pulled on a schedule. No rip-and-replace, and no carrier hardcoded into the product.

Carrier portalsCommission & residual statements
Payment processorsSettlement & tender files
DistributorsDevice invoices & catalogues
Your own uploadsCSV, on a schedule or ad hoc
Pricing

Start free for 30 days.

Every module, every store, for the whole 30 days. Choose how you continue after that.

Questions about fit? Talk to us.

Ready to settle the month once?

Load a single period of your carrier and store data and see what the engine makes of it — free for 30 days, before you change anything about how you operate.

Start free for 30 days