Distribution software should demo itself.
InnovateNow exists because most distributors evaluate ERPs through slide decks and scripted demos, then live with the consequences for a decade. We build KSN Suite so the evaluation happens inside the product: your own tenant, your own data if you want it, every module unlocked from day one.
What KSN Suite is
KSN Suite is a multi-tenant ERP for inventory-driven businesses — wholesale distributors, industrial suppliers, food and beverage operations, anyone whose day starts at a receiving dock. Twelve modules run on one data model: inventory with lot and serial control, purchasing, warehouse operations, sales, financials, reporting, administration, and a retail and B2B storefront your team edits by clicking on it.
That last part is not a bolt-on. The WebStore reads live stock and tier pricing from the same tenant that runs your warehouse, and editing it is a permission like any other — click an element, change it, publish with drafts and a full audit trail. No page builder, no sync jobs, no agency invoice.
The platform was shaped by distribution operations, not adapted from generic accounting software. Lots, serials, bins, waves, cycle counts, three-way purchasing visibility and customer-specific pricing are the core of the schema — the things a distributor needs on day one, not items on an integration roadmap.
KSN Suite is built and operated by InnovateNow, headquartered in Canada, and offered as a hosted service: each customer gets an isolated tenant on shared, continuously maintained infrastructure.
Three decisions we won't trade away.
Architecture is a promise about how the product behaves under pressure. These are the promises KSN Suite is built on.
Multi-tenant by construction
Isolation is not a feature we added — it is the shape of the schema. Every table carries a tenant column, every query runs inside a tenant context, and our own tests deliberately drop the tenant filter to prove nothing crosses the line. Your data shares a platform, never a row.
Audit everything
Every mutation in the platform records who changed what, when, and what the record looked like before and after. Writes go through controlled procedures, not ad-hoc statements, so there is no side door around the trail. When an auditor asks, the answer is a query, not an archaeology project.
Permission-first
Every screen, endpoint and action sits behind a granular permission — including editing the storefront, running a report, or seeing a cost. Roles are composed from those permissions, so access maps to how your company actually works instead of three coarse user types.
How we work.
Show, don't pitch
The trial is the whole product on your own tenant — every module, fourteen days, no card. If the software cannot win a fair evaluation, the sales deck should not win it either.
One schema, no seams
We build modules on one data model instead of acquiring products and wiring them together. A receipt at the dock is a stock level in the storefront and a posting in finance, in the same second.
Boring where it counts
Distribution runs on trust in the numbers. We spend our creativity on workflows and keep the fundamentals — counts, postings, permissions, audit — deliberately unexciting and relentlessly correct.
Priced in plain sight
Per-user prices are printed on the pricing page. No quote gates for the basics, no surprise line items — the conversation with sales is about fit, not about discovering the number.
Meet the product, not the deck.
Fourteen days on your own isolated tenant — every module, the storefront included. The evaluation happens where it should: inside the software.
14 days · every module · no card