Keep daily sales, supplier costs and wage pressure visible in one finance routine.
Independent cafes & coffee shops
Make everyday finance easier to keep on top of.
Connect sales-related cash movement, supplier bills, payroll and expenses in a practical routine for busy trading days.
Where finance gets messy
The pressure points are specific to cafes businesses.
Reconcile frequent money movement without letting month-end become a clean-up exercise.
Stay closer to cash when staffing, stock purchases and trading patterns change quickly.
How CherryMoney helps
Use the parts of the finance stack that match the work.
Capabilities depend on your plan and configuration, so the page stays grounded in what is available rather than promising an industry-specific module that does not exist.
Daily money visibility
Use bank feeds, transaction review and reconciliation to keep cash movement easier to follow.
Supplier bills & expenses
Keep purchases, bills and supporting records together for review.
Payroll workflows
Run payroll, PAYE and pension workflows where included in your plan.
Forecasting & reporting
Use cash-flow forecasts and reports to spot upcoming pressure before it becomes urgent.
Recommended route
Accounting is the clearest starting point for this workflow.
Use the product page to compare the plans currently published from CherryMoney Admin.