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OilMart India

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Fuel retail operations

Day-end close and statutory registers for fuel dealers.

A multi-station operations console for Indian petrol pumps: per-nozzle totalizer sales, tank dips, day-end cash reconciliation, credit ledgers, lubricants and the statutory registers dealers have to keep. It reads the OMC's automation feed on a schedule — BPCL's cloud IoT platform, or a Pine Labs BOS portal — so meters and tank levels arrive without anyone typing them. A native Android app on Google Play puts the same close in the manager's hand at the pump.

At a glance

Best for
BPCL, IOCL and HPCL dealers running one outlet or many
Sector
Fuel & energy retail
Built with
Flask 3SQLiteREST /api/v1 + token authReact Native (Expo)gunicorn + nginx

Highlights

Native Android app on Google Play, listed as FSM by Oilmart India, with over-the-air updates

Pulls forecourt data on a schedule: BPCL's cloud IoT platform, or a Pine Labs BOS portal (BPCL, HPCL, IOCL)

Statutory DSR, density-and-VCF register at 15 °C and GST invoicing built from the same shift data

Consent-gated staff presence with a 200 m station geofence and an admin presence dashboard

What OilMart India does

01

The close, not the arithmetic

Enter each nozzle's opening and closing totalizer once — litres and testing are computed per nozzle. Cash, card, UPI and credit are reconciled against sales, short and excess are flagged, and a later day cannot be closed while an earlier day in the last 30 days is still open.

02

Reads the OMC automation feed

On a schedule, the connector either calls BPCL's cloud IoT API or logs into the outlet's Pine Labs BOS portal with the dealer's own credentials, then parses and ingests transactions and tank dips. A live board shows every nozzle and tank, and each recorded sale is matched against the machine's own totalizer.

03

Credit books and the registers dealers must keep

Udhaar ledgers per customer, lubricant and fleet-card sales, and the statutory paperwork off the same shift data: daily sales register, density and volume-correction at 15 °C, GST invoices with input credit, and printable or exportable copies of each.

04

Cash custody and staff presence

Cash collected moves through a deposit lifecycle — drawer, in-transit, then a bank deposit the owner verifies — and undeposited cash carries forward to the next day's reconciliation. The staff app records consent-gated GPS presence and dwell inside the station geofence, with an owner master switch over the whole feature.

Have something to build, or run?

Whether you need a product shipped, a system kept healthy, or a hand with a hard integration — let's talk.