Rock-Solid Financial Control &
Double-Entry Khata Ledgers
Bridge the gap between front-desk sales and backend accounting. Automatically generate double-entry journals, track customer credit limits, and reconcile cash registers in real-time.

100%
Ledger Reconciliation
Automated real-time balance matching
3.2x
Receivables Collection
Faster collection via automated WhatsApp links
100%
Tax Compliance
FBR invoice reporting & GST calculation
Zero
Audit Accuracy
Zero discrepancy double-entry ledger guarantee
Designed for High-Volume Retail & Multi-Store Enterprises
Eliminate manual spreadsheet errors and missing cash drops with an automated financial core.
Real-Time Khata & Customer Ledgers
Instant visibility into customer credit balances, payment timelines, and automated WhatsApp payment reminder dispatch.
Double-Entry General Ledger
Every front-desk sales transaction, POS cash drawer drop, and vendor purchase automatically creates balanced debit/credit journal entries.
Aging Risk Analysis
Track overdue receivables across 30, 60, and 90-day buckets with automated credit limit enforcement at the POS counter.
Multi-Store Profitability & COGS
Calculate accurate gross margins per branch with real-time Moving Average Costing and FEFO inventory evaluation.
Supplier Payables & Vendor Khata
Manage supplier purchase orders, partial payments, and debit notes seamlessly linked with inventory receiving drops.
IFRS & Tax Audit Ready
Export FBR/Sales Tax compliant invoice ledgers, audit logs, and immutable financial history with multi-tenant encryption.
Ready to Automate Your Store Financials?
Deploy SmartStore HQ Enterprise Business Operating System today and unify POS, Inventory, and Financial Ledgers.
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