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Retail

Bookkeeping for retail

Daily sales, inventory, and margins that finally make sense.

POS reconciliation, inventory, and multi-location reporting for brick-and-mortar retailers.

What usually goes wrong

  • POS totals, card processor deposits, and cash that never quite match
  • Inventory counts that don't reflect shrink or returns
  • Comparing performance across locations is a manual project
  • Seasonal cash crunches that arrive without warning

How we handle it

  • Daily sales reconciliation from Square, Lightspeed, or Shopify POS to the bank
  • Inventory and COGS tracking with shrink analysis
  • Location-level P&L with same-store comparisons
  • Seasonal cash flow forecasting
Case study

Three Stores, One Set of Numbers

A growing boutique retailer with three locations stopped guessing which store was carrying the others.

Read the case study

Clean books, delivered every month

Hand off the bookkeeping to a team that specializes in it, and get your evenings back.

Two colleagues reviewing financial statements at a desk