Billing, stock and field sales that agree with each other
What you get
An order taken at the counter is billed before the customer leaves. An order taken on a route updates stock the moment it is placed. GST is filed from the same records rather than rebuilt at month end. The reconciliation work between systems disappears, because there is one system.
What it replaces
Billing software that does not talk to stock, a salesman's order book that reaches the office days later, and somebody spending the last week of every month making three sets of numbers agree.
How it works
Built around how the trade actually operates rather than how a package assumes it does — the counter, not the head office — and extended continuously against real daily use rather than a specification written once and frozen. In Tamil or English, because that is what the counter needs.
Measured so far
businesses billing on it daily
of branded offtake, last 90 days
invoices, 1.1m line items
products migrated on one onboarding
Recognise your own situation in this? That is usually the point to talk — gokul@theflutterfrog.com.
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