POS-to-GL mismatches
Daily sales, tenders, and discounts from multiple stores rarely tie to the ledger without manual intervention.
Atlas Global Finance
Store-level reporting, inventory accounting, and multi-location closes for retail and e-commerce brands.
We connect POS, inventory, and GL data so finance teams see performance by store, channel, and SKU category.
Pain points
Common finance bottlenecks we see across retail teams.
Daily sales, tenders, and discounts from multiple stores rarely tie to the ledger without manual intervention.
Cycle counts, markdowns, and shrink adjustments need disciplined timing to keep margins trustworthy.
Holiday and promotional periods spike transaction volume when internal teams are already stretched thin.
Practical accounting support mapped to your operating model.
Reconcile cash, card, and gift card tenders to bank deposits and GL sales accounts by store or channel.
Assist with cycle count entries, shrink analysis, and category-level margin reporting.
Deliver monthly store performance summaries with KPI commentary for regional and HQ finance teams.
Process vendor invoices, co-op accruals, and promotional markdown schedules with clear audit trails.
Separate marketplace, DTC, and wholesale revenue with aligned fee and fulfillment cost allocations.
Provide clean actuals and trend data to support merchandise and operations planning cycles.