Consignment POS

Consignment POS software for vendor-based retail

Consignors, commissions, rent, payouts, and inventory in one system designed for consignment shops — and built so it does not break when a consignor grows into a full retail operation.

What consignment actually needs from a register

Consignors

Splits, statements, and self-serve

A custom commission rate per consignor, every fee itemized on their ledger, and a per-consignor statement they can pull themselves instead of calling you.

Splitscustom rate per consignor
PayoutsSyncroACH™ or check
Portalself-serve, read-only
Intake

One item or one pallet

A single consigned piece gets a photo and a price in seconds. A vendor receiving cases of new product gets SKU-level inventory and per-unit cost basis. Same intake screen either way.

SyncroAI™photo · barcode · UPC
Compslive, for collectibles
Labelsvendor, price, Global ID
Payouts

Nobody reconciles by hand

Balances accrue as items sell. Approve the cycle and SyncroACH™ sends the money, with the itemized statement attached, and the ledger records it.

Cadencedaily / weekly / monthly
RailsSyncroACH™ · check
Holdbacksautomatic against returns
The ceiling problem

Most consignment software punishes your best consignor

Traditional consignment tools assume one-off used items with a description field. That works until a consignor starts moving new inventory at volume — then they need SKUs, reorders, and case-quantity receiving, and the software cannot follow. Usually that consignor is the one you least want to lose.

A store commission rate, or a custom rate per consignor
SKU-level inventory and cost basis when a vendor needs it
Charge booth rent and commission together when you start renting space
No migration to a different product to grow

A common path

1You start with twenty consignors on straight splits.
2Three of them ask for a dedicated space and steady shelf presence.
3You add booth rent for those three and keep splits for the rest.
4One starts buying new product wholesale and needs real SKUs.

Every step of that happens inside the same system, on the same ledgers, with no data migration.

See a settlement cycle run start to finish

Thirty minutes in the live software. We set up your splits and rent the way you charge them and settle a cycle in front of you.

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