TRIS helps restaurant operators turn fragmented data into clear, actionable financial insight.
You have a POS. You get your bank statements. Maybe you even get reports from your accountant. But when you try to piece together how your restaurant is really doing, it feels like trying to solve a puzzle with missing pieces.
We fix that. TRIS builds financial visibility from the ground up, integrating your systems and translating raw data into dashboards, reports, and KPIs you can actually use. You’ll know what’s working, what’s not, and what to do next without waiting until month end.
Real-time financial dashboards and reporting
We design and deliver live dashboards that reflect the numbers that matter most, in a format you can trust.
POS and bank reconciliation that just works
We eliminate discrepancies and make sure your sales, deposits, and bank statements align.
Accurate, on-time P&Ls and cash flow summaries
We ensure your monthly financials are not just accurate, but also early enough to make decisions from.
Visibility into location, item, and labor performance
We break down costs and revenue by location, menu item, or labor unit so you can pinpoint exactly what needs attention.
Month-end close support and financial reviews
We manage your month-end process and walk you through the results in plain language.
A finance partner who explains what the numbers actually mean
We interpret data into action, helping you lead your business more confidently.