point-of-sale

Automate retail POS operations including shifts, checkout, offline sync, and ledger postings.

Updated May 15, 2026
One-click install
npx skills add https://github.com/pphatdev/erp-prompt --skill point-of-sale
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: point-of-sale
Source: https://github.com/pphatdev/erp-prompt/tree/main/skills/pos
Command: npx skills add https://github.com/pphatdev/erp-prompt --skill point-of-sale

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

POS enables fast, accurate front-counter transactions while ensuring tenancy isolation, real-time stock updates, and compliant double-entry postings across tenants.

Core Features & Use Cases

  • Cashier Shift Management: open/close shifts, track floats, log variances, and route approvals.
  • Barcode Checkout & Multi-Method Payments: fast item scans, mixed payments, and receipts.
  • Offline Resiliency & Sync Daemon: client-side caching, offline carts, and background sync when online.
  • Real-Time Inventory & FMS Posting: immediate stock deductions and balanced GL entries.

Quick Start

Configure terminals, enable offline syncing, and fine-tune quick-pick keys to match your store workflow.

Frequently Asked Questions about point-of-sale

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I handle offline POS transactions and sync them when the network reconnects?

Offline POS transactions are handled using client-side caching and offline carts, with a background sync daemon automatically posting data when the terminal regains network connectivity.

Can I automate real-time inventory deductions and general ledger postings during checkout?

Yes, checkout automates real-time inventory deductions and balanced general ledger journal entries, ensuring compliant double-entry postings across tenants immediately upon transaction completion.

How does multi-tenant point-of-sale architecture ensure tenancy isolation for retail operations?

Multi-tenant point-of-sale architecture ensures tenancy isolation by maintaining strict boundaries for inventory deduction, WMS, and FMS postings, keeping all retail transaction data separated across tenants.

What is the best way to manage cashier shifts, floats, and payment variances at the front counter?

Cashier shift management tracks open and close shifts, logs floats and variances, and routes approvals, streamlining front-counter retail operations and multi-method payment reconciliation.

Does point-of-sale software support WAC cost calculations for multi-tenant ERP environments?

Yes, point-of-sale software satisfies requirements for WAC cost calculations and atomic transactions, making it suitable for multi-tenant ERP environments requiring immediate stock updates.