Daily Store Accounting Without Paperwork
Elistars brings routine store records into a business back-office workflow built for owners and staff. Instead of splitting daily numbers across paper notes and separate files, users can keep sales data, accounting details, and reports connected in one service. The layout is intended for quick updates during a busy retail day, then clearer review when it is time to check performance.
Cloud-backed access extends that workflow beyond a single register or office computer. Teams can check current and past information from a phone, tablet, or computer, making the app useful for owners moving between locations and staff who need a concise record of the day's activity.
Lottery Sales and Settlement Tracking
Lottery tracking gives convenience-store operators a focused way to manage scratch-off books and daily ticket sales. Entries can be scanned or entered directly, so the process can follow the way a particular store receives and records lottery activity. Weekly settlement information can then be reconciled with the relevant state lottery system instead of being rebuilt from scattered paperwork.
This workflow is useful for teams that need a dependable view of ticket movement and settlement amounts. Keeping the activity in the same back-office service also helps reduce manual mistakes and makes recurring lottery checks easier to include in daily store routines.
Fuel, Jobber, and Loyalty Records
Fuel and supplier records add a financial view to everyday retail operations. Store teams can follow fuel profit, manage Jobber invoices and EFT activity, reconcile credit-card batches, and keep loyalty programs or gift cards in the same operating picture. These tasks matter when margins depend on several related transactions rather than one simple sale.
The result is a practical review path for owners who want to see whether fuel activity is producing the expected return and whether supplier or card records line up. Loyalty and gift-card tracking also keeps customer-facing programs connected to the wider store workflow. It keeps the numbers behind customer programs visible alongside the financial work that supports them.
Bank Reconciliation for Independent Retailers
Bank reconciliation helps independent retailers stay ahead of pending transactions and the fees attached to them. Users can review what is still moving through the bank, compare it with store records, and keep a daily habit of checking for amounts that need attention. That makes the app relevant to operators who want fewer surprises at the end of a reporting period.
Elistars is aimed at gas stations, convenience stores, liquor stores, tobacco stores, and similar businesses rather than personal budgeting. Owners managing more than one location can use a shared service to keep historical information available while staff update the records that support day-to-day decisions.