A POS finance module is only as trustworthy as the quote it prints. We take the product rules you believe are live, rebuild a sample of tickets by hand or in a controlled workbook, and line them up with till receipts and customer copies. Differences are logged with the field that caused them—rate table, rounding, fee stacking, or a stale campaign code. You receive a findings file, not a software patch.
What is included
- Sample selection across tenors and ticket sizes
- Independent recalculation of interest and listed fees
- Mismatch log against till printouts and customer copies
- Findings ranked by customer impact and ledger effect
How we start
After your note we confirm the module family, whether we need a live till or a lab environment, and the sample window. The figures on this page are for planning. There is no online payment.