Managing Multi-Branch Restaurants

A multi-branch restaurant needs consistent menus and a reliable view of what each location actually sold and used.

Receiving a branch request is separate from POS selling

Example branch worksheet. Actual restaurant POS evidence demonstrates ordering/payment only; it does not execute this kitchen transfer.

Receiving a branch request is separate from POS selling
Record / decisionFilled example and next owner
Request / dispatchBranch B requests20 portions under BR-20; kitchen dispatches20 against the linked internal transfer.
Receipt / exceptionBranch receives18 good and2 damaged. Receiver owns the discrepancy; retain the dispatch reference and reason.
Boundary / acceptanceSales through POS and configured stock transfers are distinct records. Recipes, kitchen routing and consolidated branch margin need separate tested scope.

Use this worksheet to organise your requirements, assign owners and plan the next steps.

Put it into practice

Choose one item sold in two branches. Map price ownership, central purchasing, kitchen production, stock transfer, service and day-end settlement. Include a branch shortage and a changed recipe. Decide whether branches share one company or require separate data boundaries.

Put the right controls in place

Record counter sales and cash payments with Datrylo POS, with Purchasing and Inventory available for the wider store operation. A retail cash receipt and separate manufacturing test do not prove a complete chain workflow.

Use this guide with the people who own the process. Agree responsibilities, prepare the necessary records and turn the next steps into a working plan. Get help with your implementation.

Use the related workflow

Choose which optional services you allow. You can change or withdraw your choices at any time.