One platform to manage sales, inventory, tank levels, multi-currency accounting, credit customers, and shift reconciliation — with real-time intelligence across every litre.
From the nozzle to the balance sheet — PetroManager gives you total visibility and control.
High-speed point of sale with pump integration, shift reconciliation, attendant tracking, and cash denomination management.
Real-time tank dip readings, automated stock movement tracking, low-stock alerts, and daily stock variance reports.
Double-entry bookkeeping with 170 world currencies, automated journal posting, bank deposits, and account transfers.
Full credit sales lifecycle with payment tracking, aging reports, SMS/email reminders, and customer statements.
40+ reports including profit & loss, balance sheet, cash flow, trial balance, tank stock, pump sales, and attendant performance.
Complete audit trail with user action logging, role-based permissions, price change approvals, and data export controls.
Designed for fuel retailers who demand precision, speed, and control.
Join 500+ stations already using PetroManager to streamline operations, reduce losses, and grow profits.