Trade Plus 4.1.1 revolutionizes trade management for departmental stores, integrating multiple POS systems into a seamless network. Designed to handle high-volume databases efficiently, this software empowers businesses with analytical tools for financial transactions and performance insights. Enhanced sharing capabilities ensure that authorized users have access to crucial data, while its advanced search and report generation features streamline operations. The latest version introduces innovative functionalities and features, further optimizing retail management processes.
Trading House Management System
Inventory Store
i. Items with Barcode info
ii. Multiple Price (Retail / Semi-Wholesale / Wholesale)
iii. Stock clearance info (Min Qty / Max Qty for Order placement)
iv. Stock Opening Balance
Point of Sales
i. Counter Petty Setting
ii. Purchase / Purchase Return
Cost Price setting center
Sales Price Setting Center
Tax Management
iii. Sales / Sales Return
Party wise sales
VAT / ABV sales
Automatic Tax Calculation
Multiple Printer Selection
4inch / 6 inch / A4 Bill format selection option
iv. Damage
v. Counter Cash Settlement with Detail
c. General Transaction
i. Multi-Bank System
ii. Expenses (cash / Credit / Bank)
iii. Bank Transaction (Deposit / WithDraw)
iv. Party Transaction (Payment / Receipt)
v. Party Adjustment
d. Utility
i. Security
1. Multi-User
2. User Roles
ii. Database Backup (Automatically / Manual) on Day End
e. Reports
i. Day Book
ii. CASh Book
iii. Bank Book
iv. Order List –with the party and stock analysis
v. Stock Analysis
1. Summary
2. Stock ledger
3. Closing stock Search option
vi. Daily transaction view –purchase/purchase Return /Sales / Sales return
vii. Party ledger Summary / Detail
viii. Expenses Summary /Detail
ix. Tax Analysis –Summary /Detail
x. Graphical Analysis- Transaction, Expenses
xi. Analysis
1. Topmost sales
2. Top Revenue Generating Sales
3. Approximate P/L Analysis item-wise / category wise
4. Non Sales item
5. Top buyers item-wise / category-wise
6. Category-wise purchase
7. All purchases from different suppliers
2. Account
a. Day Book Maintenance
b. Voucher preparation
c. Reports
i. Individual Voucher
ii. Individual Ledger of Every Entry
iii. Cash Flow Statement
iv. Trial Balance
v. Trading Account
vi. Profit & Loss Statement
vii. Balance Sheet
Insoft
Simalchour, Pokhara –8, Gandaki, Nepal
[email protected]
+97761-540815 | 61-539579