
Restaurants
Independent and group restaurants that need the books, food and drink reporting, VAT, payroll and year-end handled as one finance function.
F&B Finance
Finance support designed around the operational realities of restaurants, cafés, bars, pubs, takeaways, catering businesses and hospitality groups.
Who this page serves

Independent and group restaurants that need the books, food and drink reporting, VAT, payroll and year-end handled as one finance function.

Daytime food and beverage businesses that want organised bookkeeping, payroll and tax without building a finance team behind the counter.

Wet-led sites with high till volume, mixed VAT and supplier activity, and a need for cash and labour to be visible during the week.

High-volume, often platform-led businesses that need takings, commissions, VAT and payroll kept in one set of records.

Food and beverage businesses that trade in peaks, with invoicing, labour and tax that need to stay organised between events.

Groups that need site-level numbers as well as a company view, with processes that still work when a second or third venue opens.

Why F&B finance is different
Food and beverage finance is different because the operation is different: high transaction volumes, daily sales, multiple payment channels, food and labour costs, frequent suppliers, payroll complexity, wastage, delivery commissions and site-level performance.
A generic accounting pack that only shows total turnover will not tell you whether food GP, beverage GP or labour moved. The work has to sit on till reconciliation, supplier invoices and rotas — not a year-end reconstruction.
That is the flagship of this practice. Other UK businesses are welcome; they are not the headline.
F&B service areas
We understand F&B
Till reports matched to card batches, cash-up and the bank.
Food GP and beverage GP watched separately, not lost inside total sales.
People cost against sales, including the hours hospitality actually works.
Food, beverage and labour brought together as the cost of running the site.
Purchases coded so cost of sales is not reconstructed from memory.
Orders, commissions and payouts recorded rather than guessed.
Where they apply, reflected in payroll and the books. We do not invent a scheme.
Site-level numbers plus a company view of cash, VAT and payroll.

Single site
Books were behind after a busy season. Till reports, suppliers and payroll did not tell one story, so food GP and cash were guesses.
Bookkeeping and AP brought onto a monthly cycle, EPOS matched to the bank, and a hospitality management pack covering food GP, beverage GP, labour and cash.
The operator had a current pack to read, not a year-end reconstruction — and a clear view of food, drink and cash during the month.
Next step
Whether you operate one venue or a growing hospitality group, let’s discuss what the books, payroll, VAT and reporting should look like.