Restaurant accounting with purchases, inventory, and banks under control.
Tario helps organize supplier XMLs, record expenses, review balances, reconcile banks, and manage operational inventory without losing financial context.
Recurring vendor purchases
Inventory by location
Banks and payments reviewed
Vendor purchases without chaos
Food, packaging, services, and expenses arrive with XMLs and PDFs. Tario helps turn them into reviewable purchases.
- Bills from XML
- Vendors and balances
- Support files by document
Operational inventory
Restaurant inventory changes quickly. Location, movement, and adjustment control helps find differences before they hit margin.
- Warehouses and points of sale
- Transfers and adjustments
- Repairs or assigned assets
Cash, banks, and reports
Payments, deposits, fees, and purchases need clear reconciliation to understand profitability by period.
- Bank statements
- Cash flow
- Income statement
Frequently asked questions
Is Tario a POS?
No. Tario focuses on accounting, purchases, banking, reports, and operational inventory. It can work alongside a POS.
Does it help with vendors?
Yes. Supplier XMLs can enter the purchasing workflow.
Is inventory an add-on?
Yes. Inventory tracking is available as an add-on.
Organize the back office behind your service.
Let's map vendors, inventory, banks, and reports to see where Tario can save hours.