Starter
Essential operations
$59/month
- 10 team members
- 2 venues
- 100 OCR documents per month
- All core features
Restoring your session...
Saved account
You are currently signed in as .
Account verification
Organisation setup
Trial ended
Workspace
Team access
| Person | Role | Status | Actions |
|---|
Staff attendance
Venue QR detected
Your device location will be checked against the venue before the shift is recorded.
Use your phone camera to scan the QR code displayed at your workplace.
No shift requires approval.
Employment records
| Staff member | Position | Employment | Status | Actions |
|---|
Set the organisation pay cycle and prepare staff for payroll export.
| Staff member | Employment | Base rate | External employee ID | Ordinary code | Overtime code | Status | Actions |
|---|---|---|---|---|---|---|---|
| Loading payroll setup. | |||||||
Choose a week, then include any combination of staff.
Load a week to choose staff.
| Staff member | Venue | Clock in | Clock out | Breaks | Hours | Review | Actions |
|---|---|---|---|---|---|---|---|
| No week loaded. | |||||||
Only company details appear in employee agreements. Administrator identity remains private.
Every sent version is preserved. Required terms must be entered before signing.
Your employment agreements and current status.
| Employee | Position | Venue | Version | Status | Actions |
|---|---|---|---|---|---|
| No agreements found. | |||||
| Staff | Type | Dates | Status | Actions |
|---|
| Date | Venue | Staff | Category | Severity | Status | Actions |
|---|
Locations
| Venue | GPS area | Status | Actions |
|---|
Sales reconciliation
| Date | Venue | Gross | Refunds | Discounts | GST | GST-free | Cash | Online | Gift | Cash out | Banked | EFTPOS settlement | Actions |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Choose a month to load takings. | |||||||||||||
Reconciliation
Import statements and review transactions before finalising them.
| Date | Description | Reference | Money out | Money in | Balance |
|---|
| Date | Account | Venue | Description | Reference | Money out | Money in | Status | Action |
|---|---|---|---|---|---|---|---|---|
| No bank transactions imported. | ||||||||
Review completed imports, skipped rows, and undo untouched imports.
| Imported | File | Account | Venue | Added | Duplicates | Rejected | Action |
|---|---|---|---|---|---|---|---|
| No imports completed. | |||||||
Manage imported bank accounts, venue assignments, opening balances, and availability.
| Account | Last 4 | Venue | Opening balance | Last import | Status | Action |
|---|---|---|---|---|---|---|
| No bank accounts imported. | ||||||
Organisation categories and default GST treatments.
| Code | Account | Group | Default GST | Status | Action |
|---|---|---|---|---|---|
| Loading accounts. | |||||
Track asset cost, depreciation, book value, and disposal through the organisation ledger.
| Asset | Category | Venue | Purchased | Cost | Depreciation | Book value | Method | Status | Actions |
|---|---|---|---|---|---|---|---|---|---|
| No fixed assets recorded. | |||||||||
Edit reusable suggestions and preview how many imported transactions they match.
| Description contains | Category | GST | Matches | Status | Action |
|---|---|---|---|---|---|
| No reusable rules saved. | |||||
Balanced journals prepared by bank reconciliation and awaiting accounting approval.
| Date | Source | Description | Debit | Credit | Status | Action |
|---|---|---|---|---|---|---|
| Reconcile a transaction to create a draft journal. | ||||||
Finalised journals that form the organisation ledger.
| Date | Journal | Description | Debit | Credit | Posted | Status | Action |
|---|---|---|---|---|---|---|---|
| No journals posted. | |||||||
Till reconciliation
| Date | Venue | Staff | Expected | Counted | Variance | Status | Actions |
|---|---|---|---|---|---|---|---|
| No declarations submitted. | |||||||
Expense records
| Date | Merchant | Total | GST | Confidence | Status | Actions |
|---|
Accounts payable
| Invoice date | Supplier | Invoice # | Ex GST | GST | Total | Due | Confidence | Status | Actions |
|---|
Invoice item history
| Category | Product | Supplier | Latest invoice | Order qty | Pack size | Invoice unit price | Comparable price | Previous | Change | History |
|---|---|---|---|---|---|---|---|---|---|---|
| Import existing invoices to begin the Lumiere trial. | ||||||||||
OCR matching
| Supplier | ABN | Aliases | Status | Actions |
|---|
Owner tools
Source images are deleted after OCR. CSV-only results are erased after download and expire automatically.
| File | Supplier | Invoice # | Date | Ex GST | GST | Total | Confidence | Status |
|---|---|---|---|---|---|---|---|---|
| No batch has been processed. | ||||||||
Subscription
AUD excluding GST. Your 7-day trial does not require a card.
Starter
$59/month
Professional
$149/month
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