Retail

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Bookkeeping for Retail

Sales reconciliation and inventory accounting for retail businesses.

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The Challenge

The Bookkeeping Challenge

Retail businesses must reconcile point-of-sale data, track inventory costs accurately, and manage vendor payments – all while keeping tight control over margins in a competitive market. Getting the numbers wrong means losing profit without knowing it.

How StreamTech Helps Retail

Specialized bookkeeping built around the way your industry actually works.

POS Sales Reconciliation

Daily reconciliation of POS sales data against bank deposits and payment processor settlements.

Inventory Cost Tracking

Accurate cost-of-goods-sold tracking and inventory valuation for precise margin reporting.

Payroll & AP

Full payroll for retail staff plus organized accounts payable so vendor relationships stay strong.

What’s Included for Retail

  • POS Reconciliation
  • Inventory Cost Tracking
  • Cost of Goods Sold
  • Payroll
  • Accounts Payable
  • Bank Reconciliation
  • Monthly Financial Statements

Ready to get your books in order.

Start with a free 30-minute consultation – no commitment, no pressure.