Challenge
Financial information came from branches, the distribution center, banks, and point-of-sale systems in separate formats, making reconciliation slow and differences hard to catch on time.
Solution
We built an internal platform to capture financial breakdowns, upload bank statements, and consolidate point-of-sale information, allowing the team to review sales, deposits, and movements from a single flow.
Results
Faster reconciliation
Greater financial visibility
Fewer manual errors
We accelerated financial reconciliation across branches and CEDIS by centralizing breakdowns, bank statements, and POS data.
The operational challenge
Financial information came from branches, the distribution center, banks, and point-of-sale systems in separate formats, making reconciliation slow and differences hard to catch on time.
What we built
We built an internal platform to capture financial breakdowns, upload bank statements, and consolidate point-of-sale information, allowing the team to review sales, deposits, and movements from a single flow.
- Digital capture of branch financial breakdowns.
- Centralized bank statement uploads and review.
- Cross-checking of sales, deposits, and operational movements.
The impact
The result is a clearer operation with less manual work and a technology foundation ready to keep evolving.

