LPG distribution software built for Jamaica.

Track every cylinder, dispatch every delivery and close the books in one system — from depot stock to customer accounts, GCT included.

The management dashboard, showing counters for items awaiting approval, overdue receivables and unpaid purchases, today's sales total, and shortcut tiles for invoicing, cash book, receivables, payables and inventory.

Cylinders you own, sitting somewhere you can't see.

Every distributor carries the same three problems. A general accounting package solves none of them.

🛢️Cylinder tracking Know how many cylinders are at each depot, on each truck, and out with each customer — full, empty or awaiting test.
🚚Delivery and dispatch Build routes, assign loads to drivers, and reconcile what went out against what came back and what was paid.
📊Deposits and exchanges Cylinder deposits, exchanges and returns tracked per customer, so a balance is a real figure rather than an estimate.
🧾Accounting included Sales, receivables, payables and the general ledger in the same system — no re-keying into a separate accounts package.
🏭Depot and plant stock Filling operations, stock on hand and movements between depots, visible without a phone call.
📱Customer accounts Credit customers, statements and arrears, so the collection conversation starts from an accurate number.

Not written for a brochure. Written for a depot.

The LPG modules are part of MyRewardz, the business system Chriswin has run Jamaican operations on since 2004. It was built against real distribution problems — cylinders that go missing, deposits nobody can reconcile, a delivery round that costs more than it earns — because those were the problems in front of us.

Since 2004
In daily production use in Jamaican businesses
GCT-ready
Built for local reporting requirements
One system
Operations and accounting, not two packages stitched together

Your data is yours alone — it is never shared between businesses on the platform, and we handle it in line with Jamaica's Data Protection Act.

What distributors ask us first.

Does it track cylinder deposits and exchanges?

Yes. Deposits, exchanges and returns are held against each customer account, so a customer balance reflects cylinders as well as cash.

Can it handle more than one depot?

Yes. Stock is tracked per depot, including movements between them, and reporting rolls up across the whole operation.

Does it include accounting, or do I still need a separate package?

Accounting is included. Sales, receivables, payables and the general ledger are part of the same system, so deliveries do not have to be re-keyed into a second package.

Is it GCT-ready?

Yes. It was built in Jamaica for Jamaican reporting requirements, and GCT is handled as part of ordinary invoicing rather than worked out afterwards.

Can drivers be assigned loads and reconciled at the end of a round?

Yes. Loads are assigned for dispatch and reconciled on return against what was delivered, what came back and what was collected.

How do we get started?

Ask for a demo and we will walk you through the modules against your own operation — how many cylinders, how many depots and how you sell.

See it on your own operation.

Tell us how many cylinders and depots you run, and we'll walk you through the modules that matter. No commitment.

Prefer email? Write to sales@chriswin.net.