AjumaPro
POS
Point of sale
Built for the counter.
Barcode checkout, live stock, and shift cash-up in one workspace cashiers and managers can run all day.
- Barcode POS
- Kitchen tickets
- Cash shifts
- Export-ready reports
Point of sale
Coffee¢3.50
Bread¢2.75
Milk¢1.99
Cookies¢1.50
Soap¢4.25
Tea¢2.99
How it works
Catalog, counter, then the books.
No complex setup. Sign in, add products, and start selling — stock updates with every ticket.
01
Set the catalog
SKU, barcode, cost, price, and reorder level — unique barcodes per organisation, categories, and plan product limits.
02
Take the sale
Scan or search, apply a percent discount, add tax, pick takeaway or dine-in with a table number, then print a KOT and receipt.
03
Tender and close
Cash with change, card last-4, or mobile money with a transaction id. Email the receipt. Void restores stock.
04
Read the floor
Peak hour, payment mix, top products, AOV, and gross profit on the dashboard — export when accounting asks.
Operations
Advanced counter and back office.
These are the controls cashiers and managers use on a live shift — not a second spreadsheet.
Checkout depth
- Barcode scan or type SKU / name
- Percent discount on the ticket
- Fixed tax line on POS and receipt
- Takeaway or dine-in + table number
- Kitchen ticket (KOT) print
- Cart drafts saved on this device
- Keyboard shortcuts and checkout sounds
Money & drawer
- Cash received with automatic change
- Card (masked last-4) or mobile money
- Cash shifts: open float, close count, variance
- Refunds: request → approve → complete
- Payment list with filters and totals
- Org receipt header, footer, and currency
Inventory truth
- Stock checked and decremented at sale
- Void sale puts units back
- Adjustments: add, remove, or set, with reason
- Low-stock and out-of-stock alert center
- Pro+: stock per location
- Cost vs price for gross profit
Control & proof
- Admin, manager, cashier, or custom JSON roles
- Activity log for sales, voids, and stock
- Staff invites under seat limits
- Switch organisation and location
- Read-only products / sales API (Pro+)
- Onboarding checklist: product, sale, invite, reports
Reports
From barcode to audit trail.
The same sale that left the counter feeds analytics, valuation, and exports — so finance is not a weekend job.
05
Live dashboard
Trends, peak hour, payment mix, top products, average order value, and gross profit.
06
Stock reports
Inventory valuation, low-stock lists, and adjustment history with reasons.
07
Financials
Sales summary plus a simple P&L: COGS, margin, and period totals.
08
Exports
CSV, Excel, Word, or PDF ledgers when the accountant or auditor asks.
Pricing
Plans for every counter
Starter ¢50 · Pro ¢200 · Enterprise ¢450. Fourteen days free; subscribe when you’re ready.
Basic
¢
50
/ month
14-day free trial
- team members
- locations
- products
- 14-day free trial — no card required
- Core product workspace
- Shared FastHR login & organisation
- Standard support
Start free trial
Most popular
Professional
¢
200
/ month
14-day free trial
- team members
- locations
- products
- 14-day free trial — no card required
- Everything in Basic
- Full product feature set
- Priority email support
- Workspace module enablement
Start free trial
Enterprise
¢
450
/ month
14-day free trial
- team members
- locations
- products
- 14-day free trial — no card required
- Everything in Professional
- Advanced controls & integrations
- Dedicated support
- Custom onboarding options
Start free trial
Ghana cedis · 14-day trial on every plan · no card required
FAQ
Details operators ask.
Can cashiers take cash, card, and mobile money?
Yes. Each sale uses one tender: cash (amount received and change), card (masked last-4), or mobile money (number and transaction id).
Does a void put stock back?
Yes. Voiding a sale restores units and voids the linked payment. Stock adjustments (add, remove, set) keep a reason and history.
Is there a kitchen ticket?
Dine-in and takeaway orders can print a KOT plus a customer receipt with your organisation header and footer.
What do Pro and Enterprise add?
Pro unlocks per-location stock, cash drawer shifts, refunds, and the read-only API. Enterprise raises seats, locations, catalog size, and history.
Fourteen days. Full product. No card.
Checkout, inventory, and receipts — ready the moment you create a workspace.
Start free trial