Retail Finance & Sales Audit
Island Pacific Financials is a comprehensive retail financial management tool tightly integrated with Island Pacific's Merchandising and Warehouse modules.
Key Features include
Seamless Invoice Matching: Automates invoice reconciliation between financial data and inventory/warehouse information.
Retail Sales Auditing (Island Pacific Sales Audit): Provides complete control over the sales audit cycle, ensuring data accuracy at every stage. This includes detailed transaction-level information and comprehensive multi-channel summaries.
Third-Party Integration: Seamlessly integrates with third-party financial systems.
Centralized Financial Management: Manages various key financial aspects:
Chart of Accounts
Accounts Payable
Stock Ledger
Expense Tracking (including freight and duty)
Month-End Reporting
Island Pacific Financials streamlines financial processes, improves accuracy, and provides a consolidated view of key financial data for retailers.

Get in touch!
Contact us today for a product demonstration and see how Island Pacific Financials can streamline your processed and transform your retail experience.