12 months’ complimentary Banking-as-a-Service for enrolled customers
Simplifying cash.
Empowering retailers.
Cutting edge cash management solutions for retail businesses with Retail365.

The Retail365 Advantage
Managing cash can be one of the most time-consuming and challenging aspects of running a retail business. From manual counting to lengthy reconciliations, security and insurance, these tasks take up precious time and resources away from what truly matters to every retailer – providing great service to your customers and expanding your business.
At Retail365, we understand the frustrations of traditional cash handling. That’s why we developed cutting edge solutions to make cash management effortless. Our smart safe-led solution are designed to streamline your operation, eliminate unnecessary steps, and ensure that your business’ cash is safe, secure, and transferred to your bank account in record time.
Whether you’re an independent retailer or a larger multiple, Retail365 empowers you to focus on your business whilst we handle your cash, 365 days a year.
Take control of your cash today.

Cennox provides transformation services and solutions to the retail and financial sectors, including manufacturing and supporting the Lincsafe portfolio of smart safes, payment terminals and cash recycling devices.

FCA-authorised payment institution providing seamless payment account integration.

G4S is a leading security and facility services company that provides proactive security services and cutting-edge smart technology to deliver tailored, integrated security solutions.
Portal
Control your cash
Seamlessly
With Retail365’s advanced reporting tools, you gain full visibility and control over your cash operations. Our platform streamlines reconciliation, monitors performance, and makes data-driver decisions with ease.
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1
Detailed Transaction Data
Our reporting system provides a complete record of all cash deposits, including total value, denomination breakdowns, and exact timestamps for every deposit.
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2
Streamlined Daily Reconciliation
Daily reconciliation tools ensure that deposits align perfectly with next-day bank credits, reducing manual effort and improving accuracy.
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3
Customisable Reporting Options
You can tailor reports to monitor trends, cash flow patterns, and performance metrics specific to your business needs.
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4
Real-Time Monitoring
Track deposits and Smart Safe activity in real time through a centralised dashboard, providing up-to-date visibility of cash levels and activity.

