Riverside Hospitality

IndustryHospitality & RestaurantsWorkflowTreasury & Cash Management
automated
Daily reconciliation
real-time
Cash position
eliminated
Close surprises

The challenge

Riverside runs daily reconciliation across point-of-sale systems, card processors, and bank deposits at many locations. Done at month-end, breaks surfaced under deadline, and the consolidated cash position was always a reconstruction across portals.

What Astridex did

Astridex matched POS, card, and deposit activity every day, clearing the high-confidence majority and surfacing only true breaks for review. Balances across banks and locations were aggregated into a single, current cash position, with payments running under approval rules.

Daily reconciliation became automatic, the cash position turned real-time, and month-end surprises disappeared because the work no longer waited for the close.

We reconcile POS, cards, and bank deposits every single day now. Month-end holds no surprises because the work never piles up.
Theo Laurent, VP Finance, Riverside Hospitality

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