Case studies
What this looks like in practice
A selection of the work, anonymised where the client hasn't approved public use of their name.
Enterprise pharmacy chain
Multi-branch stock visibility across a growing chain
Consolidated inventory and reporting across branches, replacing weekly manual cross-branch reconciliation.
• Single view of stock across all branches
• Cross-branch transfers instead of duplicate ordering
• Weekly manual reporting removed entirely
Independent pharmacy
From Excel to KRA-compliant in a week
Migration from spreadsheets to a compliant POS with eTIMS fiscalisation and M-PESA reconciliation.
• eTIMS compliant inside the launch week
• Stock data migrated with no trading downtime
• M-PESA reconciled automatically against sales
Distribution
Purchase orders and stock, connected
Procurement and stock ledger joined up so receiving a delivery updates the books without re-entry.
• Purchase-order to stock-ledger loop closed
• Duplicate data entry removed
• Supplier reconciliation time cut significantly
Want to talk to a reference customer? Ask during your assessment — we'll connect you where the client has agreed to it.