Trades and store credit
Manage intake, pricing, approval, payouts, and the ledger behind each customer balance.
Cardstead gives your team one place to manage trades, store credit, money, calendars, employees, and the records that keep a shop moving.

Manage intake, pricing, approval, payouts, and the ledger behind each customer balance.
Track accounts, register sessions, safe activity, cash movement, budgets, and reports.
Plan releases, events, preorder dates, customer calls, and employee follow-up.
Manage employees, roles, locations, permissions, and the history behind important actions.
Cardstead keeps the record behind each balance, payout, approval, and correction so the next employee can pick up where the last one left off.
See how the workflows fit togetherWhich trades are still waiting for review or a customer decision?
Why did this customer’s store-credit balance change?
Who approved this cash payout, and where did the money come from?
What changed between the expected drawer and the final count?
Accounts, locations, and permissions keep each person in the right part of the shop. Important changes stay in the record for owners and managers to review.
Read about security and customer dataAdditional stores cost $19.99 per month. Add as many employees as you need. No transaction fees or revenue share.
See pricing detailsA practical way to record additions, redemptions, corrections, approvals, and customer questions without relying on memory.
Read guideWhat to record as cards move through intake, review, approval, customer decision, and payout.
Read guideA calm checklist for confirming the count, rebuilding expected cash, reviewing payouts, and recording what happened.
Read guideChoose the areas you want to cover, from trade intake and money to calendars and employee access.