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Restaurant controller software

Every store's numbers, reconciled — not just the consolidated total.

Nexora reconciles POS, payroll and vendor data store by store, so a controller can trust the detail behind a consolidated P&L before it reaches the CFO or the board.

The actual problem

A consolidated number is only as good as the detail under it

A controller's job is catching the unmapped POS employee, the invoice that doesn't match what was counted, the single store whose numbers don't add up — before any of it reaches a consolidated report. That needs store-level reconciliation as a first-class view, not an export built specially when something looks wrong.

A specific way the numbers can mislead

Illustrative — the real screen is shown on a call.

What a controller gets

Reconciliation, not just reporting

Unmapped employees, named

POS staff never mapped to a payroll record shown by name and store, not hidden inside a labour percentage that reads better than reality.

Labour blind-spot calculator

Invoice-to-count variance

What was invoiced, checked against what was counted, by category and by store, in dollars.

Food cost management

Drill-down from the consolidated view

The same data model behind the group P&L holds every store's own detail, one click away.

Questions

What operators ask about this

What is restaurant controller software?

Software built for the person responsible for the accuracy of the numbers across a restaurant group — reconciling what the POS, payroll and vendors report against what actually happened, store by store, rather than a single blended figure a CFO reviews at the top.

How is this different from restaurant CFO software?

A CFO typically needs the consolidated, board-ready view. A controller needs the detail underneath it — every store's reconciliation, every unmapped POS employee, every invoice variance — before that consolidated number is trusted.

Can a controller drill into a single store's numbers from the group view?

Yes — the same data model that produces the consolidated P&L holds every store's own detail underneath it, so a controller can move from the group figure down to the specific location and line item driving it.

Ready when you are

See your own reconciliation, live

Twenty minutes, screen shared. We connect one of your locations live and show its reconciliation against POS, payroll and vendor data.