Counter

A counter that bills fast and closes the shift honestly

retail POS software

Scan, bill, take payment and move to the next customer. At close, RetailDek reconciles the cash drawer and locks a tamper-proof close-of-day snapshot — so your counting matches your system. Cloud POS software: point of sale billing in the browser, no boxes to install.

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What you can do

Built around how retail pos billing actually works in an Indian shop.

Fast keyboard & barcode billing

Scan a barcode or search by name to add items instantly. The POS is built for speed at a live counter, not form-filling.

Shift open with cashier identity

Every POS session opens against a named cashier, so each bill and every rupee is attributable to the person who took it.

Cash reconciliation at close

Close-of-day records opening float, payouts, card settlement and counted cash, then reconciles it against system sales — the difference is right there, not a mystery.

Immutable close-of-day snapshot

Each shift close writes a locked pos_day_entries snapshot that can't be edited after the fact — a clean audit line between one day and the next.

POS bills are real GST invoices

Every counter bill is a proper sale invoice, marked Paid and stamped with its POS session. Your POS sales flow straight into the same reports and GST summaries — no separate silo.

Live stock deduction

Selling at the counter deducts stock the moment the bill is saved, so your inventory reflects walk-in sales in real time alongside orders and invoices.

A look inside

See retail pos billing at work

A quick look at how the numbers come together on screen — clear totals, live figures, and nothing to re-key.

  • Fast keyboard & barcode billing
  • Shift open with cashier identity
  • Cash reconciliation at close
POS — Shift #48 · Cashier: Ravi
134
Bills
₹58,900
Cash Sales
₹0
Variance
Opening float — ₹2,000
Card settlement — ₹31,400
Counted cash — reconciled ✓

How it works

Three steps, start to finish.

1

Open the shift

The cashier opens a POS session with an opening cash float — their identity is stamped on everything that follows.

2

Scan & bill customers

Add items by barcode or search, take cash or card, and print the bill. Each sale is a Paid GST invoice that deducts stock.

3

Reconcile & close

At day end, count the drawer. RetailDek reconciles cash against sales and locks an immutable close-of-day snapshot.

Retail POS Billing — FAQs

Answers to the questions shop owners ask most.

No — that's the point. Every POS bill is a real sale invoice marked Paid and stamped with its POS session. Counter sales appear in the same reports, Day Book and GST summaries as the rest of your billing.

Ready to put retail pos billing to work?

Start free and see it running with your own shop's data in minutes.

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Free Tools

Free GST, billing & inventory tools

No sign-up, no login — they run entirely in your browser.

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