POS — Point of Sale
Sell across restaurants, bars, shops and activities.
A fast, reliable point of sale for restaurants, bars, shops and activities across the property — with a back-office Admin to configure menus, pricing and outlets. Every sale links to the guest and their stay, so charges and insights stay connected.
Floor & tab service
Quick, dependable service for front-of-house and back-of-house staff.
Tab service by guest or staff
Open and track multiple tabs per outlet; close, pay or void.
Charge to room, tab or card
Push charges to a PMS folio or settle on the spot.
Covers & comps
Comp individual lines or grouped products in a tap.
Outlet switching
Pick a cost-centre at login; tabs persist as you move.
Bills, payments & settlement
Handle the messy real-world moments cleanly, and take payment however the guest wants.
Split tabs three ways
Split a line by quantity, value or percentage — VAT redistributed automatically.
Discounts & gratuities
Apply $ or % at line or whole-tab level.
Manager approval
Gate discounts, voids and gratuities behind a single approval flow.
Void controls
Void whole tabs or individual lines with quantity selection.
Multi-tender & multi-currency
Settle one bill across cards, cash and room, each in its own currency at the day's rate.
Consolidated settlement
Roll an account's invoices into one final statement and settle once (rolling out).
Kitchen & menus
Get the order to the right place, with the right menu at the right time.
Kitchen & bar printer queues
Fire orders to slip printers routed per outlet, with a test-print action.
Order modifiers
Preparation methods, served-as, extras and substitutions captured on every line.
Day-part menu scheduler
Breakfast, lunch and dinner menus by weekday and time window.
Per-camp menu builder
Build a menu tree per camp or property so every outlet gets the right list.
End-of-day & controls
Close out cleanly with the checks a real operation needs.
Cash-up by tender
Count down by payment type with expected-vs-counted variance, colour-coded over/short.
Night audit
Per-outlet day-end close, and bulk-close every till whose tabs are settled and invoiced.
Stocktake
Count stock against expected per outlet; save a draft or submit.
Credit notes
Formal, audit-safe counter-documents against invoices — not silent voids.
Accounts & reliability
The right price for the right guest — and service that never stops.
Price-code overrides
FIT, BB, all-inclusive or staff pricing per booking.
Credit-limit enforcement
Staff and account spending caps with clear over-limit messaging.
Offline-first sync
Menus, pricing, staff and settings download locally and sync deltas back.
Back office (Admin)
Configure the whole operation from one place and publish it to every till.
Menu & product setup
Drag-drop menu tree, combos, extras, prep methods and variants.
Pricing per cost-centre
Multiple price codes per product across outlets.
Payments & printers
Payment types, slip printers and invoicing rules per outlet.
Sales reporting
Invoice lists, sales dashboards and revenue analytics.
How POS connects
Part of one connected ecosystem
Posts every sale to Finance, ties each transaction back to the guest in Guests/CRM, and can charge directly to a PMS folio.