iControl's approach to Scan-Based Trading is different because it doesn't begin with payments. Our solution begins with data synchronization, integrating our advanced analytics and financial management experience to ensure the payments we process are 100% accurate.
Our proactive audit reporting compares Retailer and Supplier data sets daily to ensure variances in item cost, retail, promotional allowances and other key trading data are corrected before invoices are even generated.
Item File Discrepancies
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Take the hassle out of your business and put you in a better position to service your customers.