Get NukodesFor retail stores · Field workflow
Keep sales, stock, and cash from drifting apart.
Retail teams move quickly. One person is selling, another is restocking, and the owner is trying to know what actually happened before the day ends. Nukodes keeps the sale, the stock movement, the receipt, and the money trail in one workspace.

What creates pressure
The gaps this workflow is built to close.
- 01
Stock runs out before anyone notices
Peak products disappear from the shelf, but the owner only finds out after customers have already asked.
- 02
POS, cash, and transfers sit in separate places
Sales happen through different rails, then someone still has to reconcile bank alerts, POS slips, and notes.
- 03
The end-of-day picture is too manual
Owners need sales, expenses, stock pressure, and receipts without waiting for a spreadsheet clean-up.
A day in three moves
The operating trail, from action to review.
- 01
Sell through POS, cash, invoices, or transfers.
- 02
Update product counts and low-stock pressure as work happens.
- 03
Review sales, collections, expenses, and records from one daily view.
Product evidence
See each part of the record.

Cart, payment, receipt, and product count stay tied to every retail sale.

Track products and low-stock pressure before the shelf becomes the problem.

Sales, collections, expenses, and activity sit in one view for reconciliation.
Continue the field test
Inspect the product with your own work in mind.
No borrowed testimonial. No projected saving. Start with the workflow and judge the fit.