The situation
Edit Boutique sells both in-store and online across several platforms, and reconciling sales, fees and stock movements across all of them was eating hours every month with no reliable single source of truth.
What we did
We set up proper multi-channel reconciliation through Xero, automated the platform fee and payout tracking, and moved bookkeeping onto a monthly cycle so nothing piles up.
The result
[DRAFT — confirm real figures] Hours saved every month on reconciliation, and a genuinely accurate month-end position across every sales channel.
“[DRAFT] Our books finally match what's actually happening in the business.”
— Edit Boutique