Reps still keying orders. Credit checks done by feel. Supplier statements reconciled in a panic at month-end. We automate the repeat work — so reps sell, ops ship, and the books actually balance on the 30th.
Repeat-customer orders auto-suggested from velocity. One-tap confirm. Released to Cin7/Unleashed.
Replaces rep order entry on routine accountsNew trade account → ABN verified, bureau pulled, terms drafted. Approve / decline with full file.
Replaces 3 days of email tagStatement → parsed → matched against PO/invoice history. Variances surfaced with suggested resolution.
Replaces 2 days of month-end workTier rules enforced automatically across quotes and orders. Special-deal exceptions tracked and reported.
Replaces margin leakageStockout detected → customer notified with ETA → auto-fulfil when stock lands.
Replaces "where's my order?" callsEach rep sees their book — pipeline, slip, opportunity. Updated nightly. No spreadsheet.
Replaces Monday morning reports30 minutes. We'll map your trade book, supplier reconciliation pain, and rep order flow — and which three automations free the most ops capacity.
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