Sales, Financials & Reconciliations

RSI produces Weekly Financial Statements so that our restaurateurs have their finger on the financial pulse of their operations week to week, including supporting reports that analyze Sales and Costs for opportunities to improve.  To insure the accuracy of your Financial Statements, we perform monthly bank reconciliations so any transactions that your team neglected or your bank "goofed" are caught.  Furthermore, your RSI Tax Specialist will make the Sales Tax Payments for your operations based on the data you submit.

  • Receive Balance Sheets, Income & Expense Statements and General Ledgers
  • Detailed Sales and Cost Analysis Reporting
  • Item Analysis Reporting
  • Monthly Bank Reconciliations for 2 bank accounts
  • Sales Tax Return Filing and Payment no matter where you Operate
  • Budget vs. Actual Reporting
  • Performance Reviews to identify opportunities for Financial Improvement
  • Cash Flow Statements generated for Operations
  • Operational Statements generated for Operations
  • Comparative Reporting after 1 Year of Service to see "now" vs. "the past"