Organization
Retail operations control plane
Live performance and actions that need your attention.
Dashboard scope
Consolidated tenant dashboard
Choose the whole tenant or one shop. Every dashboard figure and operational list follows this selection.
Products
Basket
| Item | Qty | Total |
|---|---|---|
| No items | ||
Payment
Cash drawer
Shifts
Return sale
Void an open transaction
Returns
Receipt
Receipt history
Create customer
Customers
Create promotion
Create a discount code, or select a promotion to edit it.
Edit promotions
Select a promotion to change its discount.
Pricing policy
Price list
Scoped discount
Price override
Price preview
Stock
Consolidated stock across all shops
| Shop | SKU | Product | Price | On hand | Reorder | Status | Action |
|---|---|---|---|---|---|---|---|
| No records | |||||||
Supplier
Purchase order
Adjust stock
Select Adjust beside a stock item.
The change is recorded as an audited stock-count adjustment; earlier movements and sales are preserved.
Transfer and policy
Payments
Offline tender policy
Payment lifecycle
Provider settlement
Gift card / store credit
Offline basket
Staff time
Loyalty
Actions
Starter estate
Sale sync
Operations
Hardware
Setup
AI report
Response
No action has been run in this session.
Queues
| Shop | Till | Queue | Last sync | Status |
|---|---|---|---|---|
| No records | ||||
Provider configs
Tenant overview
A focused view of the selected business and its day-to-day setup.
Estate
Operations
Integrations
Create shop
Create staff
Cashier sign-in
Till lock policy
Manager approvals
Shops
Staff
| User | Role | Status |
|---|---|---|
| 0 staff | ||
POS setup by shop
Select the shop whose terminals, POS machines, devices, and payment providers you want to configure.
Petrol pumps
Select a shop to configure its forecourt.
When enabled, cashiers can retrieve waiting fuel sales from a locally connected forecourt controller.
Terminal
POS machine
Choose the shop that owns this POS. The assignment is permanent after registration.
Devices
Devices found by the shop’s Device Bridge appear below. Assign a signed driver, link the device to its till, then run a hardware test before use.
Discovered devices
The shop Device Bridge checks stable USB/HID and serial paths, configured CUPS queues and printer advertisements on the local LAN. It does not scan the subnet. Passwords, raw serial numbers, device paths and private keys are never sent to the cloud. Newly connected equipment normally appears within one minute.
Payment provider
Configured POS
Reconciliation
Catalogue and shop assortment
The master catalogue belongs to the tenant. Shop assortment, names, and prices belong to the selected shop.
Shop assortment and pricing
Choose which master-catalogue products this shop sells. Set an optional shop price; leave it blank to inherit the tenant master price.
Shop screen design
Select a shop to design its POS screen. Each shop publishes its own layout.
Widget cards
Cash floats and business targets
Set the operational opening float and performance target separately for each shop.
Select a shop to manage its cash float and targets.
Opening cash float
The amount the shop should start with. Choose which UK denominations staff can count and enter at the till.
Business target
Performance targets are separate from the operational cash float and are stored per shop.
Shop operational configuration
Configure services separately for the selected shop using the fields below.
Tenant master catalogue
Create a product or select an existing one to edit, categorise, enable, or disable it.
Product categories
Create, organise, rename, or disable the categories shown on the till.
Upload catalog
Upload up to 5,000 products from a UTF-8 CSV file. Existing SKUs are updated and new SKUs are created.
Units
Barcode aliases
Variants and bundles
Labels
Products
Shop price list
Select a shop to view and maintain its selling prices.
| SKU | Product | Master price | Shop price | Price source | On till |
|---|---|---|---|---|---|
| Select a shop to view its price list. | |||||
Tax rules
Payments
Receipts
Stock
Reports
Rollups
Platform overview
Monitor the SaaS estate and move quickly into tenant, security or audit work.
Estate
Services
Device estate
Tenant sales
Sales lines
Select one tenant to view its sales.
| When | Tenant | Shop | SKU | Item | Qty | Line | Margin | Paid by | Status |
|---|---|---|---|---|---|---|---|---|---|
| No records | |||||||||
Tenant directory
Businesses on Receipt Stack
Select a business card to view or manage its shops, people and POS estate.
Add a tenant
Create tenant
Add a business first. Shops, owners and tills are configured after creation.
Tenant information remains collapsed until you choose a business card above.
None
Edit selected tenant
Create tenant owner
Shops
Users
| User | Role | Status |
|---|---|---|
| No users | ||
POS machines
| Machine | Shop | Status |
|---|---|---|
| No POS machines | ||
SMTP settings
Platform email is required for Shop POS activation and enabled email sign-in codes. Save the settings, then send a test before enrolling a till.
Status
Server
Two-factor authentication
Status
Policy
Reports
Webhook subscription
Outbox
Business profile
Maintain the trading and legal identity shown throughout this tenant. Platform-controlled lifecycle status is shown but cannot be changed here.
Identity
Tenant record
Tenant backup & restore
Create an encrypted, tenant-isolated configuration backup. Restore uses an atomic merge and creates a safety snapshot first.
Create backup
Download completed backups and retain them according to your business policy.Import backup file
Guarded restore
Available backups
Preview and verify a backup before restoring it.
API key inventory
Issue a least-privilege key, copy it once, and revoke it with an audited reason.
Issue key
Issued keys
Adapter capability
Test matrix
Status
Migration record
Backup record
System events
Review tenant and shop events without exposing raw configuration payloads.
| Recorded | Shop | Event | Details |
|---|---|---|---|
| No events | |||
Audit trail
Admin management
Choose an area to open its administration workspace.