Problem → solution
When Your Cash Register Doesn't Match Your Inventory Count
End-of-day totals from the register never match the stock sheet. Managers spend an hour finding the gap.
Sound familiar?
- Register Z-report differs from inventory adjustment
- Refunds and exchanges logged in different places
- No single source of truth for the day
How Zamyu helps
- One operational record for sales, returns, and stock movement
- Audit trail on every adjustment
- Daily close reports from the same data cashiers used
Related questions
Connect checkout and stock on one platform, reconcile returns at POS, and review variance alerts before close instead of rebuilding totals in spreadsheets.