An automated reconciliation layer that feeds your accounting software only bank-confirmed, reconciled data, with full transparency and auditability.
Shift Tracker is not a full accounting suite (e-invoice, ledger); it is the bank-confirmed reconciliation layer that keeps your accounting accurate. It matches card and cash sales against bank records, corrects payment types, and feeds reliable, reconciled data into your accounting program.
Request a demoMatch sales against bank records so only verified amounts reach your books.
Fix cash/card mix-ups so no misclassification reaches accounting.
Keep bank-confirmed amounts separate from descriptive cash amounts.
Works alongside TURPAK/Asis automation and your accounting program.
Every correction is recorded with its reason and timestamp.
No. Shift Tracker is not an accounting suite; it is the bank-confirmed reconciliation layer that works alongside your existing accounting software.
Bank-confirmed, reconciled sales and collection data, so your books rest on accurate figures.
Yes. It pulls sales data from systems like TURPAK and Asis and reconciles it against the bank.
Accounting programs don't verify that a sale actually reached the bank; Shift Tracker does.
See the reconciliation layer working alongside your accounting program.
Request a demo