Integrated Retail Accounting Software is Simple and streamlined, yet sophisticated in functionality and flexibility.
ChainDrive’s fully integrated Retail Accounting Software and “Retail-Centric” Accounting has been specifically designed and tailored for today’s retailer. The accounting software for retail system has built-in automated functionality with user friendly features intent on simplifying and streamlining all accounting processes.
Expense allocation, sophisticated lease management, along with our commission engine feature and detailed cash audit tools are amongst the key components that make up the foundation of ChainDrive’s Accounting software for retail business . Our proficient accounting process allows you to gain insight into any transaction occurring within your chain.
- Fully-integrated “Retail-Centric” Accounting Systems leveraging our centralized database
- Multi-company capability, including seamless inventory management and expense allocation
- Rules-based commissions and incentives engine that feeds to your payroll provider
- Payroll Service Integration
- Integrated invoice matching, including drill-down to PO detail
- Powerful Retail Financial System with reporting available at three grouping levels
- Tri-dimensional GL structure, providing accountability by account, store, and department
- Automated Bank Reconciliation
- Automated cash audit and bank reconciliation, with complete drill-down functionality
- Robust accounting information system
- Centralized lease management and rent invoicing, including future liability projections
- Retail Centric
- Centralized Data
- Dynamic Reporting
- Integrated Invoice Matching
- Enterprise-wide Transaction Insight
- Streamlined Processes
Integrated Retail Accounting Software -Tri-dimensional GL
Our flexible, tri-dimensional GL provides the ability to create rules for expense allocation that can be performed on a one-off or even monthly basis. This powerful allocation module can reallocate expenses to stores or departments based on sales, square footage or pre-defined percentage, for precise P&L reporting.
Chaindrive Integrated Retail Accounting Software Lease Management
Our sophisticated lease management centralizes lease agreements for all your stores, alerting you on a per-store basis when your lease is up for renewal. The pos system uses a powerful formula generator to calculate rent and automatically posts monthly rent invoices to the GL. In addition, its advanced liability reporting can project up to twelve years ahead, allowing you to plan and budget accordingly.
Retail POS Cash Audit
Our cash audit’s complete drill-down capability lets you view detail down to an individual invoice. With the click of a button, you can post daily sales, deposits and petty cash expenses from POS to the GL. All related outstanding deposits are then generated in bank reconciliation, using an automated module to import transaction files from the internet. This fully integrated point of sale software functionality greatly reduces time consuming tasks and eliminates the need for manual information processing that can lead to costly errors.
Chaindrive retail software for billing & Invoice Matching in retail shops
ChainDrive’s Automatic Invoice Matching eliminates the amount of work and errors associated with retail billing manually verifying and matching invoices to PO’s. It automatically matches Invoices to purchase orders and receiving documents allowing for a more efficient and accurate payment process.
Retail accounting software Commissions Engine
Our best accounting software query-based commissions and bonus engine is designed to handle any variation of complex sales incentives, commissions, bonuses, and spiffs. Using fixed or scaled rates, you can create personal, store and/or department targets and budgets. Employee paycards are easily generated by compiling hours clocked at POS, and that data is directly exported to your external payroll provider.
Automated Bank Reconciliation
ChainDrive’s Automated Bank Reconciliation allows retailers to instantly reconcile bank accounts. It features complete drill-down functionality down to an individual invoice. Daily POS sales(credit card, cash and debit) can be posted to the GL and deposits can be generated and automatically cross referenced and verified with bank statements in one click.