OSM OmniStoreMan
Resources — Case Studies

How operators run on OmniStoreMan.

Anonymized case studies from operators who moved to OmniStoreMan — the setup, the migration, the workflow, and the numbers that moved as a result.

Retail

Neighborhood retail chain, 4 locations.

Cut the daily register-vs-web stock reconciliation from 90 minutes to zero. Cycle counts moved from quarterly full-freezes to weekly rolling.

Full write-up publishing soon
Liquidation

Liquidation operator, 6 stores.

Pallet-import to shelf in one shift. Auto-markdown schedules cut aging stock 40% inside a quarter.

Full write-up publishing soon
Franchise

Franchise network, 22 partner locations.

Transfer-based AR replaced monthly reconciliation. Per-franchise P&L visible to head office in real time, portal-only to each partner.

Full write-up publishing soon
B2B

Wholesale distributor, 350 accounts.

Tier pricing enforced across storefront, phone order, and sales-rep entry. Aging report replaced a shared spreadsheet.

Full write-up publishing soon
Full write-ups with numbers publishing as customers approve their stories.

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