Unified multi-branch sales tracking and instant day-close accounting
3
Outlets on one dashboard
Source: Tenant branch count
15 min
Daily accounting close time
Source: Merchant operational feedback
12
Digital payment options accepted
Source: Payment method configuration

Managing separate cash drawers and handwritten orders across three busy cafe outlets caused frequent inventory reconciliation errors and delayed evening day-close accounting.
Deployed Sajilo Restaurant across all 3 locations with centralized multi-branch sales reporting, automated eSewa/Fonepay settlement, and live KOT display in kitchens.
Reduced evening reconciliation time from 2 hours to 15 minutes while tracking all branch revenues live from a single owner dashboard.
Thirty minutes, no obligation.