Cash Gap Audit:
Find the facts to unlock your potential.
Can your stock perform better? How much better? And how?
Before making any changes to your supply chain, you need the facts. Our Audit, which uses a simple Add-in via Excel, provides a clear, data-driven assessment of your inventory flow, showing you where stock-outs are avoidable and where excess stock is tying up cash unnecessarily, to see how much working capital can be freed up and throughput increased.

Compare your actual stock performance against optimized flow, using your data and your rules for lead times, order batching and delivery frequency.
Learn which changes will have maximum impact on throughput, turns and free cash flow. An Add-In for Excel delivers standard reports with actionable information, updated daily. No big integrations, no long onboarding process. All yours; no SaaS.

During an implementation, we empower you to make the right changes on a path of ongoing improvement, with access to partners for advanced simulations and automations. See https://wair.ai/ and https://goldrattresearchlabs.com/.
Still unsure? Feel free to reach out via hello@retailtwin.com, or just Schedule a Free Consultation with me. I will happily explain the process and how you can use the insights to improve your product flows to retail.