Tenant-secure foundation
Keep every client’s identities, products, transactions and reports inside its own enforced boundary.
ZippiBill keeps numbering, stock, staff, shifts and reporting outlet-aware without fragmenting the company into disconnected systems.
Local execution with centralized visibility and control.
Each outlet gets the right operational context while owners retain cross-outlet oversight.
Keep every client’s identities, products, transactions and reports inside its own enforced boundary.
Use outlet-specific location, invoice series, cash float, shifts, stock and print routes.
Assign owner, manager, cashier and specialist permissions with outlet access controls.
Review outlet balances and movement without mixing unrelated stock contexts.
Compare outlets or view the entire tenant across sales, profit, tax and settlement.
Prepare readiness tasks from the selected business profile and enabled capabilities.
The platform carries tenant and outlet context through each operational workflow.
Choose the profile, modules, owner and subscription controls.
Create locations, series, shifts, staff access and local setup.
Each outlet bills and reconciles in its own active workspace.
Ownership compares performance and resolves readiness or control gaps.
Keep the operating model consistent while allowing each location to retain the setup it needs.