Numbers arrive late
Sales, cash and inventory become clear only after the damage is done.
CoreNexas connects daily operations with financial control, permissions, audit trails and executive dashboards—so owners see exceptions before they become losses.
Built for hotels, restaurants, retail, hospitals and production farms.
Sales, cash and inventory become clear only after the damage is done.
Branches, warehouses, POS and treasury need one connected audit trail.
Edits, returns and approvals must be tied to user, time and permission.

Reservations, rooms, guests, housekeeping and billing.

Fast transactions, shifts, payments and cashier control.

Cash flow, balances, profit and journal entries.

Receiving, transfers, barcode and low-stock alerts.

Employees, attendance, shifts, leave and payroll.

Executive KPIs, branch comparison and exceptions.
Sales, returns, cancellations, printing, shifts and cash closing.
Receiving, issuing, transfers, damaged goods and item audit.
Cashboxes, balances, payments, daily closing and ledger integration.
Receiving, returns, payments, pricing and supplier performance.
Accounts, price groups, credit, loyalty and collections.
Users, departments, attendance, shifts, handover and payroll.
Role, branch, warehouse, cashbox and screen-level control.
Sales, stock, cash, shortages, exceptions and risk points.
We map daily cycles, documents, roles, approvals and leakage points.
We configure modules, users, branches, warehouses, cashboxes and reports.
We train users, launch gradually, monitor exceptions and support management.
Every operational movement is tied to money, permission, time and responsibility—creating a clear management picture instead of late reports and guesswork.
Tell us how your branches work and we will prepare a focused demo around the control points that matter most.