The whole estate: governed, reconciled, compliant.
Multi-entity accounting, role-based access across 16 domains, deep analytics and built-in government compliance. The controls a large chain needs, on one platform that still moves fast.
Profit per location, per legal entity.
Multi-entity accounting with cost centers and auto-posting gives audit-grade financials across the estate. Every sale, refund and payroll run posts to the right ledger automatically. Close is faster and the numbers tie out.
- Separate legal entities, currencies and tax registrations under one account
- Cost centers per brand, region and location
- Auto-posting from POS, payroll and purchasing to the general ledger
RBAC across 16 domains.
Precise, auditable delegation for hundreds of staff across many locations. Define exactly who can see and change what, from menu and pricing to refunds, payroll and financial reports, and scope every role to the right brands and branches.
- 50+ granular permissions grouped by domain
- Roles scoped to specific brands and branches
- Every access change captured in the audit trail
Deep analytics, plus the Brain
30+ reports, 16 explorers and an AI assistant that proposes actions, across the whole group, not one branch at a time.
30+ reports
Sales, operations, inventory, staff, customers and tax reports, group-wide or drilled to a single branch.
16 interactive explorers
Slice revenue, profitability and product mix by entity, region, channel and period with live drill-down.
The AI Brain
An assistant that reads your estate's data and proposes concrete actions, with dry-run and approval before anything ships.
ZATCA and ETA built in.
Government e-invoicing across jurisdictions with a full audit trail. Submit, track and reconcile every transaction against the tax authority. No bolt-on middleware, no manual exports.
- ZATCA (Saudi Arabia) and ETA (Egypt) e-invoicing supported
- Per-country onboarding status and device health in one view
- Every submission logged with the government response and QR proof
Onboard devices in three steps.
A guided wizard takes each terminal from merchant details to a verified, compliant device: merchant details, then device registration and OTP, then CSID and QR confirmation. Roll it out branch by branch without a consultant.
- Step-by-step wizard per device and per country
- Sandbox and production environments with credential rotation
- Status and last-verified timestamp for every registered device
Central control, local execution.
Push menu and price changes group-wide while each branch runs independently. Set the canonical catalog at the account level, then let every location keep its own availability, floor and day-to-day operations.
- Push menu and price changes across all branches at once
- Per-branch overrides for price, availability and 86'd items
- Multi-brand and multi-branch structure under a single account
The controls a large chain needs
Finance, access, compliance and catalog. Everything that makes running an estate manageable, on one platform.
Multi-entity accounting
Separate legal entities, currencies and cost centers with audit-grade, auto-posted financials.
Role-based access
50+ permissions across 16 domains, scoped to the right brands and branches.
Government compliance
ZATCA and ETA e-invoicing with per-country onboarding and a full submission log.
Central catalog
One canonical menu pushed group-wide, with per-branch price and availability overrides.
Audit trail
Every change recorded and traceable: access, pricing, refunds, compliance.
A P&L you can stand behind.
Financial reports per period, per entity and per cost center: revenue, COGS, opex and net income that tie back to the source transactions. Close faster and answer the board with numbers you trust.
- P&L by period, entity, brand and cost center
- Revenue, COGS, operating expenses and net income at a glance
- Every figure traceable back to the posting transaction
Built on the full Tappya platform
Enterprise control sits on top of the products your group already runs every day.

