Reporting
Sales, product, customer, payment, and daily close reports built from one source of commercial truth.
The problem
Retail teams lose hours reconciling scattered records instead of running the business.
- Reports pulled from disconnected systems
- Promotion performance unclear until month end
- Outlet comparison requires manual exports
- Auditors can't trace numbers to transactions
How Talmow helps
One operating layer for commercial truth across your outlets.
Sales reports
By outlet, channel, cashier, and time period.
Product performance
Velocity, margin signals, and promo impact.
Payment reports
Method mix, unmatched items, and refund trends.
Scheduled delivery
Automated reports for finance and management.
Benefits
What changes when you run on Talmow.
Sales reports
By outlet, channel, cashier, and time period.
Product performance
Velocity, margin signals, and promo impact.
Payment reports
Method mix, unmatched items, and refund trends.
Scheduled delivery
Automated reports for finance and management.
How it works
From setup to daily close.
Configure
Set up outlets, products, payment methods, and roles.
Operate
Sell, receive stock, capture payments, and manage exceptions.
Reconcile
Match sales to payments, review variances, and close the day.
Act
Use reports and Tess insights to improve margin and control.
Integrations
FAQ
See Talmow in action
Request a demo and we'll show you how your operation closes the day on Talmow.