Descriptive Modules Incorporated.
Recipe Menu Creation
Accounting Ledger/Sub Ledger Creation Module.
Cash Receipt/Payment Journal Entry Module.
Voucher entry Module.
Bank reconciliation format.
Data base compaction.
Users and user Privileges.
Duplicate Bill Printing.
Day End Processing.
Configurable Hotel Details.
Trade Restaurant has Easy User interface for process the KOT creation, Billing, Recipe Menu, Stock taking and Accounting.
Trade Restaurant General Ledger is the highly flexible core of all financial accounting applications. Using this module, you establish your chart of accounts according to the way your business operates. Then you can post accounting transactions, process, summarize, report, and close your books smoothly each month, quarter, and year. A record is kept of all your financial data, providing you with timely business information and the assurance that a complete audit trail is beneath your business transactions.
Easily configurable, you can set up accounts and sub accounts to your operating structure, and select from various user-definable options that help you better manage your time and business. Reference numbering can be set to automatic, manual, or optional at the time of data entry. Multiple sets of books can be maintained in a single database allowing for budgets, forecasts, and statistical information to be compared in context to your actual operating results.