Automated Bank Reconciliation
Restaurant365’s goal is to reduce your time spent doing non-value adding tasks. The Bank Reconciliation process can be the biggest pain in the restaurant accounting department, spending hours each week matching up, recording and reconciling transactions using one or more systems.
Restaurant365 allows you to upload your bank data and automatically match up bank transactions or easily create new ones.
Daily Deposit Tracking
Restaurant365 pulls data from all of your restaurant locations and will auto-create daily deposit records. This automates the daily deposit creation process and enables a faster, automated bank reconciliation.
Can Restaurant365 perform ACH or Positive Pay transactions to my vendors?
Yes. In Restaurant365, a user can create ACH payments, while automatically email ACH Payment Stubs directly to your vendors and generate Positive Pay files for use with your banks.
To learn more about Restaurant365 and its Banking features, please contact us at 866-216-0183 to schedule a demo.