Retail Store Owners
Clean monthly books for Retail Store Owners.
POS sales, merchant fees, inventory, vendor payments, and payroll all need to reconcile to the financial picture. Build a monthly rhythm around the records behind the store.
Industry bookkeeping
Keep the records behind the business connected.
TrueBooks organizes recurring financial activity into a reliable monthly close and clear reports.
✓ POS sales and payment deposits
✓ Inventory and vendor payments
✓ Merchant fees, payroll, and operating costs
✓ Bank and credit-card reconciliation
✓ Monthly Profit & Loss, Balance Sheet, and Cash Flow reports
✓ Monthly review, close, and report delivery
What this can look like
Connect store activity to the books.
A retail store may have daily POS sales, card deposits, inventory purchases, and vendor bills moving on different schedules. A consistent monthly view helps owners see sales alongside the costs of running the store.
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Ready to Get Started?
Schedule your free consultation and see how TrueBooks can help keep your books clean, organized, and on time.
