Stock in POS and webshop drift apart structurally.
One system has to be the source of truth. With two leading stocks you get oversells, returns landing nowhere, and nobody trusts the numbers.
Try this first
- 1Pick one leading system (often the POS) and sync one-way
- 2Always log returns, damage and corrections in the leading system
- 3Webshop stock live or on a short sync interval
- 4Monthly stocktake on a fixed subset
When to bring us in
Mismatch has lasted months and nobody knows what is correct: pause sales on the affected SKUs and do a physical count, otherwise you keep chasing your tail.
See also
- Lightspeed Retail or K-Series?Retail is for SKU-driven shops with e-commerce, K-Series is for hospitality.
- Is MplusKASSA right for my shop?Dutch vendor, strong for multi-store retail with solid accounting integration.
- Cloud POS or local only?Cloud needs reliable internet plus 4G failover, local-only loses multi-store sync.
None of the above fits?
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