---
title: Settings at a glance
description: What each item under Settings is for and what you decide there.
sidebar:
  order: 1
---

Open **Settings** from the bottom of the sidebar. Settings are grouped into **Organization**, **Business** and **Personal**.

In general, only owners and admins can change settings. Other members see most settings as view only.

## Organization

Your shop's own details, and how it relates to members and other businesses.

| Item            | What it's for                                                                                                                                 |
| --------------- | --------------------------------------------------------------------------------------------------------------------------------------------- |
| Organization    | Your business name, address, contact details, secondhand dealer license and company seal. These appear on quotes and in the secondhand ledger |
| Members         | Invite members, change roles and suspend access. See [Members and roles](/en/guides/getting-started/members-and-roles)                           |
| Scanner devices | The iPhones signed in to the putaway app. Use **Revoke** to shut off a device you no longer use                                               |
| Business links  | Link with other businesses so you can transfer stock to each other                                                                            |
| Audit log       | Who did what and when. Filter by period or action, and export to CSV                                                                          |
| Ledger          | The secondhand ledger of goods you bought. Download as CSV or print                                                                           |

### Organization

Under **Business details**, enter your legal name, the name shown to customers, address, phone and support email. Under **Secondhand dealer license**, add your license number and Public Safety Commission. Until a license is added, its number can't appear in the ledger or on documents you give customers.

Upload an image under **Company seal** to print your seal in the issuer box of quote PDFs. Use a PNG or JPEG of 1 MB or less.

### Scanner devices and business links

Revoking a scanner device stops putaway, stock counts and picking on it. A revoke can't be undone.

To link with another business, share **Your organization ID** with them, or click **Request link** and enter **Their organization ID**. Once they approve, you're linked and can transfer stock to each other. Customers, cases and inventory lists are not shared. The transfer steps are in [Outbound, transfers and handovers](/en/guides/inventory/outbound-and-transfers).

### Audit log and ledger

The audit log lets you filter member actions separately from actions taken by integrated apps. **Export CSV** exports up to 10,000 entries at a time.

An entry is added to the secondhand ledger when you record a customer's acceptance of a final quote. Use **Download CSV** to export it and **Print** to keep a paper copy. Only owners and admins can view the ledger.

## Business

Values used in day-to-day buying and inventory work.

| Item                | What it's for                                                                                                                |
| ------------------- | ---------------------------------------------------------------------------------------------------------------------------- |
| Buy rates           | The rate applied to market prices to get buy prices, and how amounts are rounded. See [Buy rates](/en/guides/settings/pricing)  |
| Locations           | Your sites, such as stores and warehouses, and the shelves inside them. See [Inventory overview](/en/guides/inventory/overview) |
| Label printing      | Alignment for printed QR labels. See [Putaway and QR labels](/en/guides/inventory/putaway)                                      |
| Condition tags      | Tags you attach to stock units to note their condition                                                                       |
| Carriers            | The carriers you use and your contract numbers                                                                               |
| Payouts             | The paying account for Zengin files, and the payout approval rule                                                            |
| Notifications       | Where notifications go and which events trigger them                                                                         |
| CloudSign           | Your contract and power of attorney templates                                                                                |
| LINE, LINE messages | Your LINE Official Account connection and the messages you send customers                                                    |
| MCP                 | AI assistants connected to your shop                                                                                         |
| Integrations        | Let external apps read your stock or buy boosts. See [Integrations](/en/guides/settings/partners)                               |

Notifications, LINE and LINE messages are covered in [LINE and notifications](/en/guides/settings/line-and-notifications).

### Condition tags

Condition tags record a card's condition on a stock unit. Create them with **Add condition tag**, and use **Rename** or **Archive** as needed. Renaming a tag also renames it on units that already carry it and in the stock data sent to integrations. An archived tag can't be added to new units, but it stays on units that already have it.

### Carriers

Record the carriers you use, with your contract number or customer code. Toreca Cloud doesn't connect to carriers' systems. Book pickups and create shipping labels with the carrier directly, then record the tracking number and label image on the deal.

### Payouts

Payout settings hold the details needed to create a Zengin bulk-transfer file: your originator code (10 digits), originator name in kana, and the paying bank, branch and account. Japan Post Bank accounts can't be used as the paying account.

You also set the payout rules here.

- With **Second approval** set to **Required**, payouts over the amount in **Approval required above** must be checked and approved one at a time by an approver.
- **Default transfer date** sets the starting transfer date for Zengin files: the same day as approval, the next business day, or 2 business days after approval.

The payout work itself is covered in [Payouts](/en/guides/purchase/payouts).

### CloudSign

Under **CloudSign**, add the URLs of your contract and power of attorney templates. Toreca Cloud doesn't send documents to CloudSign for you. Send them from CloudSign and record the result in Toreca Cloud. A power of attorney is needed when the payout account isn't in the customer's own name.

### MCP

The MCP page shows how to connect AI assistants such as Claude to your shop, and lists the assistants currently connected. For how to connect, see [AI agents (MCP)](/en/mcp).

## Personal

Under **Account**, set your display name and profile photo, password, two-factor authentication, passkeys and desktop notifications. See [Signing in and choosing a shop](/en/guides/getting-started/login) for details.
