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Product

Profit Pool

Problem

The team's share is worked out by hand at the end of the period, and numbers get talked about before they are final.

Principle

When you share the pool, each squad's pool and each person's share are computed and locked at finalise. Nothing provisional circulates.

Sharing is your choice. The P&L works the same whether you split the pool or retain it.

Who uses it

A finance role finalises the period. Until then, nothing is shown to the team.

Workflow

The Chance OS loopJob → Dispatch Center → Technician Portal → Revenue Recorded → P&L → Profit Pool → Job1Job2DispatchCenter3TechnicianPortal4RevenueRecorded5P&L6ProfitPool

Product

Profit Pool for Q2 2026, finalised: each squad's gross revenue, COGS, operating expenses, net profit, net profit after tax and profit margin, the stored pool figure — RM 38,195.59 and RM 16,696.38 — and the split listing each named person's percentage and share, with a quarterly table underneath showing Q1 and Q2 finalised and Q3 and Q4 still open.

Money lives on claims, never on a parent record. A period can't finalise until every pooled squad has a 100% split. Visits with sessions and jobs with visits can't be deleted.

Monthly or quarterly payout periods — your choice per company.

Outcome

The finalised figure is locked. If later entries move that month, the system shows you by how much.

Connected systems

What it doesn't do yet

RoadmapPaying each person's share out to an e-wallet.

Chance OS does not pay anyone. Each share is paid through your own payroll or bank.

Shares come from the squad's result for the period, not from individual jobs.

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