Point of sale
Point of sale that posts a real daily close
Counter sales, shift totals and payment methods flow into the accounting engine as structured entries instead of a summary someone types in at the end of the day.
01
Counter operations
Designed around what a shop or restaurant floor actually does.
- Shift open and close with cash counts
- Payment method split across cash, card and mobile wallets
- Branch-level sales reporting
- Stock consumption at the moment of sale
02
Accounting outcome
Every close produces balanced entries.
- Point of salePlanned
- InventoryPlanned
- General LedgerLive
Status
What is live today, and what is not
Capability status
- Live
- Implemented and available to every account today.
- Beta
- Implemented and usable, still being refined with early customers.
- Early Access
- Available on request to selected businesses.
- In Development
- Actively being built for an upcoming release.
- Planned
- On the product roadmap, not yet started.
Every JiriBooks page reads capability status from one central source, so a capability is never described as available in one place and planned in another.
Keep exploring