Unify your books, stock, and branches, without stitching spreadsheets together
Deluge unifies accounting, inventory, procurement, approvals, people, and analytics across branches and warehouses. Selling and service sit on the same core data as finance and leadership, so decisions reflect live performance.
Why companies choose Deluge
Governed processes from first capture to financial reporting. Operational activity feeds inventory and books, approvals reflect policy, and reports roll up by site or group. Less reconciliation, faster period close, clearer ownership.
Finance & controls
Structured accounts, journals, and reporting built from live operations, not stitched together from exported files.
Supply chain & inventory
Transfers, receiving, adjustments, and counts with traceability across warehouses and selling locations.
Governance & admin
Central portal for organisation structure, users, branches, devices, and policy so head office sets direction once.
Frontline execution
Sales, service, and checkout, including POS where you trade, with shifts and permissions aligned to real roles.
Affordable price, full access
One affordable plan for the full Deluge platform: the same monthly rate for each active branch, or a tailored one-time package for larger rollouts.
Deluge POS
Everything included, operations, finance, CRM, and HR. Billed per active branch each month.
$5.60 per branch per month, billed once per year.
- All modules included
- Unlimited POS terminals
- Unlimited users with role-based access
- 24/7 support
Custom Solutions
One-off licensing and deployment scoped to your branches, integrations, and support needs.
- All modules included for long-term use
- Unlimited POS terminals across locations
- Unlimited users for growing teams
- Custom domains for portal and POS
- Custom rollout and dedicated support
From registration to production
Create your tenant, configure branches and rules in the portal, bring users and devices online, and operate on shared master data.
Register
Open your company account, confirm email, and receive your company code for devices and staff.
Configure the organisation
Set up branches, catalog, accounts, and users from the portal so operations and finance share the same rules.
Connect teams & devices
Onboard staff and activate terminals or handhelds with your company code. Master data and policy updates propagate through sync.
Operate with one truth
Run trading, stock control, and period close with branches and head office aligned on the same numbers.
Frequently asked questions
Connectivity, deployment, and how Deluge fits finance and operations teams.
Need help?
Contact us for a quote or a walkthrough tailored to your branches, finance model, and rollout timeline.