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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.

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