Daily reconciliation for hospitality
Reconcile POS, cards, and bank deposits every day, automatically.
Hospitality reconciles daily across POS and payment channels. Astridex matches deposits and surfaces breaks before they age.
Where Astridex moves the needle
Reconciliation
Match transactions, flag variances, and clear exceptions across bank, credit-card, balance-sheet, and intercompany accounts.
Explore →Accounts Payable
Automate capture, 3-way PO matching, exception handling, and approval routing — with a full audit trail on every invoice.
Explore →Treasury & Cash Management
Track cash positions, forecast liquidity, and orchestrate payments across banks — with controls on every movement.
Explore →Why Hospitality & Restaurants finance teams choose Astridex
Hospitality reconciles daily across POS and payment channels. Astridex matches deposits and surfaces breaks before they age.
Agents handle your highest-volume, rules-based work — accurately and around the clock — while your team approves every financial action and a complete audit trail records what happened.
Agentic finance for Hospitality & Restaurants.
See how Astridex automates your highest-volume workflows on your actual data.
Proof in hospitality & restaurants
Bring agentic finance to hospitality & restaurants.
See Astridex on your actual systems and volumes — deployed in days.