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Audit-Ready Reporting
When your accountant, insurer, or a loss-prevention audit needs the full picture, it shouldn't take a week to assemble it from five different exports.
What we build
- Complete transaction records: Every sale, void, and adjustment retained and exportable by date range and location.
- Shrinkage case history: A full audit trail of flagged incidents, investigations, and resolutions.
- Tax & accounting exports: Sales and inventory data formatted for direct import into your accounting platform.
- Custom report scheduling: Recurring reports delivered automatically to owners, accountants, or insurers.
Implementation scope
Reporting is built on top of your register, inventory, and shrinkage data, with exports formatted for common accounting platforms.