One clean payout beats a hundred tiny transactions.
Store programs can create a lot of little orders. SSM helps turn that activity into cleaner reporting, clearer proceeds, and fewer bookkeeping headaches.

Small orders can create big admin
The store may be running, but the books still have to close.
Traditional store setups can leave distributors reconciling order after order after order. That is not a growth strategy. That is a spreadsheet trying to ruin your afternoon.
Transaction Noise
Hundreds of small orders
A busy store creates a lot of individual transactions. Each one is tiny, but together they fill the books fast. Reviewing them one by one is not a good use of anyone's week.
Closing The Books
Messy reconciliation
It gets harder to see what actually came back to you. Finance ends up matching line items instead of reading results. The story of the program disappears into the detail.
Margin Visibility
Unclear proceeds
Margins, fees, and payouts can get foggy across a program. Without a clean view, it is difficult to explain performance to a client. Decisions about the next program end up based on guesswork.
Cleaner financial visibility
See the store activity without drowning in it.
SSM provides reporting and proceeds visibility designed for real-world store programs. Finance teams get a cleaner view, and sales teams can stay focused on the next opportunity.

Want the money flow to make sense?
Let’s walk through the reporting and proceeds flow.
We’ll show you how a typical store order flows from checkout to cost to net proceeds.
Request a Demo