# Automated Toast accounting for fast-growing restaurant operators

Bookkeep connects your Toast POS system to your accounting platform and posts clean, accrual-based journal entries for daily sales — with support for location-level reporting, tender type breakdowns, and accurate accounting.

## Toast POS data is rich—but messy. Bookkeep makes it accounting-ready.

### Daily summary journal entries from Toast
Automatically posts a clean, accurate sales summary each day to QuickBooks, Xero, NetSuite, or Sage Intact.

### Tender-type detail by location
Separate cash, credit, gift card, and tip revenue per restaurant location or business unit.

### Discounts, tips, and refunds included
All POS adjustments are captured and accounted for correctly.

### Automated Deposit Reconciliation
Post Toast deposit data automatically in your accounting system for easier reconciliation to sales.

### Multi-location consolidation
Seamlessly support Toast setups with multiple restaurants or storefronts.

### Works with in-house or franchise operations
Supports corporate, franchise, and hybrid restaurant groups.

## Built for restaurant teams tired of manual bookkeeping

### Multi‑location restaurants & chains
Automate daily sales entries for each location and track P&L cleanly.

### Hospitality businesses with tips and gift cards
Get GAAP‑compliant books by capturing tips, gift cards, discounts, and refunds accurately.

### Accountants and finance teams serving restaurants
Reduce month-end chaos with automated, auditable entries by location.

### Single-location restaurants
Eliminate manual data entry and bank reconciliation errors with daily automation.

### Franchise or multi-unit operators
Roll up location-level financials or support separate accounting per restaurant.

## How Toast accounting automation works

Automated Accounting and Sales Tax Management for Toast Restaurants

## **Financial Clarity for Toast**
Discover how Bookkeep streamlines financial operations for fast growing restaurants with automated accounting, payout reconciliation and sales tax compliance.
