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- Point of Sale (Retail POS) for Business Central
Örnek önizlemeA custom-built omnichannel retail POS extension for Dynamics 365 Business Central,
with offline mode and real-time inventory and finance integration. Built, installed as a per-tenant AL extension, and supported by
ECOSIRE on your own BC environment.
Point of Sale (Retail POS) for Business Central nedir?
A custom-built omnichannel retail POS extension for Dynamics 365 Business Central, with offline mode and real-time inventory and finance integration. Built, installed as a per-tenant AL extension, and supported by ECOSIRE on your own BC environment. Built to order by ECOSIRE for Dynamics 365 BC (build-to-order) — indicative price from $999.00 USD; request a quote for a scoped proposal.
Temel Özellikler
Siparişe özel, sizin için baştan sona
Kendiniz kurmanıza gerek yok — ECOSIRE tarafından geliştirilen, kurulan ve desteklenen çalışır bir uygulama.
- 1
Sipariş verirsiniz
Tek seferlik geliştirme fiyatıyla başlayın. Kapsamı başlangıçta sizinle birlikte belirleriz.
- 2
Geliştirir ve kurarız
ECOSIRE, Dynamics 365 Business Central ortamınızda geliştirir, yapılandırır ve kurar.
- 3
Yayına alma + destek
Yaklaşık bir iş haftasında yayına alırsınız; canlıya geçiş sonrası iki hafta destek dahildir. Teslim ettiğimiz koddaki hatalar ücretsiz düzeltilir.
Bu Ürün Hakkında
Most retailers running Dynamics 365 Business Central either bolt on a disconnected third-party till or re-key sales into BC by hand at end of day. This app closes that gap. It is a touch-first Point of Sale built natively in AL as a per-tenant extension installed directly on your Business Central environment — not a separate system you have to reconcile against.
Cashiers ring up sales on a fast touch interface that reads live item, price and availability data from BC. Each completed transaction posts straight through to your Sales and G/L entries, updates Item Ledger Entries, and respects your existing dimensions, VAT/tax setup, and posting groups. There is no nightly export, no CSV bridge, no parallel ledger.
The POS keeps trading when the network drops. Offline mode caches the item catalog, prices and customer/loyalty data locally; transactions queue and reconcile automatically through the job queue once connectivity returns, so a single store outage never stops the till or corrupts inventory.
Because this is build-to-order, ECOSIRE scopes the till layout, payment methods, receipt format and store hierarchy to how you actually trade, then builds, installs and supports it. We use table and page extensions, event subscribers (e.g. on posting and item availability), and the BC REST/OData v4 API for any external payment terminal or e-commerce sync. Dedicated permission sets keep cashier, supervisor and back-office roles cleanly separated.
You get a real retail POS that lives inside Business Central, owns one source of truth for stock and revenue, and is maintained by the team that built it — including BC monthly/major update compatibility checks before each Microsoft release ring.
Ne elde edeceksin
- A per-tenant Business Central extension (.app) authored in AL, built to your scoped requirements
- Installation and publishing onto your BC online or on-premises environment by ECOSIRE
- Configured store hierarchy, till/shift setup, payment methods and receipt layout for your operation
- Custom permission sets for cashier, supervisor and back-office roles
- Integration wiring to your payment terminal/gateway and any e-commerce or external system via REST/OData
- Source code, a deployment guide, and admin/cashier operating documentation handed over to you
Bu kimin için
Retail Operations Owner
Runs one or more stores on Business Central and wants the till to be part of BC — not a separate system reconciled by hand — so stock and revenue are always one truth.
Store Manager / Shift Supervisor
Needs fast counter checkout, split tender, returns and price overrides with proper authorization, plus reliable shift open/close and cash reconciliation per till.
BC Finance Controller
Cares that every sale posts to the correct G/L accounts, dimensions, VAT and posting groups automatically, with a clean audit trail and no end-of-day re-keying.
Point of Sale (Retail POS) for Business Central Nasıl Karşılaştırılır
| Kriter | ECOSIRE | Özel Yapı | Rakip | Dynamics 365 Business Central Yerleşik |
|---|---|---|---|---|
| Touch POS with offline mode | Dahil | Kısmi destek | Kısmi destek | Dahil değil |
| Posts directly to BC inventory, Sales and G/L (one source of truth) | Dahil | Dahil | Kısmi destek | Dahil değil |
| Multi-store / multi-till with shift reconciliation | Dahil | Kısmi destek | Dahil | Dahil değil |
| Loyalty, gift cards and split tender | Dahil | Kısmi destek | Kısmi destek | Dahil değil |
| Built, installed and supported on your own BC environment | Dahil | Kısmi destek | Dahil değil | Kısmi destek |
| Tailored to your stores, payments and receipts (not one-size-fits-all) | Dahil | Dahil | Dahil değil | Dahil değil |
| Source code handed over (no permanent lock-in) | Dahil | Dahil | Dahil değil | Kısmi destek |
| Validated against each BC update ring before release | Dahil | Dahil değil | Kısmi destek | Dahil |
Point of Sale (Retail POS) for Business Central hakkında Sıkça Sorulan Sorular
How long until the POS is live, and is this an instant AppSource download?
This is build-to-order, not an instant AppSource install. After a short scoping call to confirm your store hierarchy, payment methods and receipt needs, typical delivery is around one working week depending on complexity. ECOSIRE builds the AL extension, installs it as a per-tenant extension on your Business Central environment, configures it, and validates it with you before go-live.
How do ongoing support and Business Central updates work?
Because we build and install the extension, we also support it. ECOSIRE validates the app against each Business Central monthly and major update ring before Microsoft applies it, fixes any compatibility issues, and handles bug fixes and small enhancements under a support arrangement. You also receive the source code, so you are never locked to us if you choose to maintain it in-house later.
Does the offline mode risk double-selling stock or losing transactions?
No. Offline transactions are written to a local queue with their own identifiers and reconciled through the BC job queue when connectivity returns, with idempotent posting so a transaction is never posted twice. The local cache holds the last-known catalog and prices; once back online, inventory and finance entries are brought fully up to date.
Will sales really post into our existing finance setup correctly?
Yes. The POS posts through standard Business Central mechanisms — Sales and G/L entries, Item Ledger Entries, your posting groups, dimensions and VAT/tax configuration — using event subscribers rather than a side database. Finance sees POS revenue exactly as it sees any other BC sale, with full traceability.
Can it connect to our payment terminal, e-commerce store, or Power BI?
Yes. Card terminals and gateways are integrated via the BC REST/OData v4 API and AL event subscribers, scoped to the specific provider you use. Because the data lives in BC tables, it is also available through Dataverse / the Power Platform for Power BI dashboards and Power Automate flows. We confirm the exact integrations in scoping so quoting and delivery are honest.
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Point of Sale (Retail POS) for Business Central
A custom-built omnichannel retail POS extension for Dynamics 365 Business Central, with offline mode and real-time inventory and finance integration. Built, installed as a per-tenant AL extension, and supported by ECOSIRE on your own BC environment.
- Touch-optimized POS interface built as AL page extensions, tuned for fast scan-and-tender at the counter on tablet or desktop hardware
- Offline mode with a locally cached item, price and loyalty catalog; transactions queue and auto-reconcile through the BC job queue when the connection returns
- Real-time inventory sync — each sale writes Item Ledger Entries and respects locations, so stock on hand is correct across stores immediately
- Direct posting to Sales and G/L with your existing posting groups, dimensions and VAT/tax setup — no nightly export or parallel ledger