List of TCS POS Customers
Los Angeles, 90017, CA,
United States
Since 2010, our global team of researchers has been studying TCS POS customers around the world, aggregating massive amounts of data points that form the basis of our forecast assumptions and perhaps the rise and fall of certain vendors and their products on a quarterly basis.
Each quarter our research team identifies companies that have purchased TCS POS for Point Of Sale from public (Press Releases, Customer References, Testimonials, Case Studies and Success Stories) and proprietary sources, including the customer size, industry, location, implementation status, partner involvement, LOB Key Stakeholders and related IT decision-makers contact details.
Companies using TCS POS for Point Of Sale include: 99 Bikes, a Australia based Retail organisation with 1200 employees and revenues of $400.0 million, Battery World Australia, a Australia based Retail organisation with 600 employees and revenues of $40.0 million, Kurtz Bros, a United States based Distribution organisation with 60 employees and revenues of $20.0 million and many others.
Contact us if you need a completed and verified list of companies using TCS POS, including the breakdown by industry (21 Verticals), Geography (Region, Country, State, City), Company Size (Revenue, Employees, Asset) and related IT Decision Makers, Key Stakeholders, business and technology executives responsible for the software purchases.
The TCS POS customer wins are being incorporated in our Enterprise Applications Buyer Insight and Technographics Customer Database which has over 100 data fields that detail company usage of software systems and their digital transformation initiatives. Apps Run The World wants to become your No. 1 technographic data source!
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| Logo | Customer | Industry | Empl. | Revenue | Country | Vendor | Application | Category | When | SI | Insight |
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99 Bikes | Retail | 1200 | $400M | Australia | True Cloud Solutions | TCS POS | Point Of Sale | 2019 | n/a |
In 2019, 99 Bikes implemented TCS POS, a NetSuite-native Point Of Sale solution provided by True Cloud Solutions across its Australian retail estate to deliver real-time inventory, pricing and sales visibility and to support rapid expansion. The TCS POS implementation began with two test sites in November 2019 and moved to a full national rollout in January 2020, extending point-of-sale terminals and store-level transaction capture across Australia.
The deployment leveraged NetSuite-native integration to surface transactional sales data into ERP workflows, enabling inferred functional modules such as inventory management and finance posting to operate through NetSuite. Key operational capabilities included real-time store stock on-hand updates, centralized pricing controls, and sales capture that feeds replenishment and financial posting processes consistent with Point Of Sale operations.
Rollout governance used a phased pilot then rollout approach with staged site validation, terminal configuration, and centralized policy settings for pricing and inventory rules. The TCS POS implementation unified 99 Bikes point-of-sale operations with NetSuite ERP, aligning retail sales, inventory control and finance workflows under a NetSuite-native Point Of Sale architecture.
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Battery World Australia | Retail | 600 | $40M | Australia | True Cloud Solutions | TCS POS | Point Of Sale | 2019 | n/a |
In 2019 Battery World Australia implemented TCS POS, a Point Of Sale application from True Cloud Solutions. The deployment was rolled out across approximately 112 Battery World franchise stores in Australia to integrate POS transactions directly into NetSuite, and to improve stock control, reporting and customer experience. The program targeted retail transaction capture, centralized inventory visibility and consolidated sales reporting.
TCS POS was configured to capture store-level sales transactions and to push inventory adjustments and sales records into NetSuite. Module usage for stock management and reporting is inferred from the NetSuite-native implementation, reflecting standard Point Of Sale capabilities such as item-level stock updates, end-of-day reconciliation and sales reporting workflows. Configuration emphasis included mapping POS SKUs to NetSuite item records and aligning tender types to finance workflows.
The integration with NetSuite provided a single source of record for inventory and financial reporting, reducing manual stock reconciliation between stores and headquarters. Operational scope included store operations, inventory management, finance and customer service across Battery World franchise locations. The rollout was executed over a nine month period, implying phased store onboarding and iterative configuration to align reporting and stock control processes.
Governance changes formalized reporting definitions in NetSuite and embedded POS-driven inventory updates into retail replenishment and reporting workflows. The deployment delivered improved stock control and reporting as stated in implementation notes, with inferred module-level stock management and reporting usage tied to the NetSuite-native architecture. Ongoing operational management focused on maintaining POS to NetSuite mappings and reporting consistency across the franchise network.
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Kurtz Bros | Distribution | 60 | $20M | United States | True Cloud Solutions | TCS POS | Point Of Sale | 2019 | n/a |
In 2019, Kurtz Bros selected NetSuite and TCS POS from True Cloud Solutions to address complex retail and landscape supply sales processes across multiple locations. The TCS POS Point Of Sale application was implemented to enable real time pricing, customer synchronization, and inventory synchronization at point of sale, aligning front end transactions with centralized catalog and pricing rules.
The TCS POS solution was customized by the vendor to match Kurtz Bros operational workflows, with configuration emphasis on POS transaction flows, price books, tendering, and inventory availability checks. Module usage for inventory and financials is inferred due to the NetSuite native integration, indicating that sales transactions and stock movements were mapped to NetSuite ledgers and inventory records for consolidated financial and inventory management.
Integration architecture centered on the NetSuite native connection as the primary back office endpoint, supporting bidirectional customer and inventory synchronization across multiple store locations and unified pricing management. Governance and rollout relied on vendor customization and configuration to align point of sale operations with retail and landscape supply business functions, with operational scope covering stores and associated back office inventory and financial workflows.
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