Hotels & Restaurants
Orders, Beverage Stock & Daily Cash Reconciliation
Connect dining counter sales, kitchen/bar inventory depletion, and daily cashier cash summaries into one reliable system.
Payments & Money Flow Dashboard

Engineered for Hotels & Restaurants Workflows
Practical, grounded features designed to give your staff clear workflows and give management complete financial visibility.
Fast Bill & Receipt Generation
Quick counter billing for food and beverage orders with split payments between cash, card, and mobile money.
Bar & Kitchen Inventory Control
Track beverage crates, bottles, and food supplies in your store. Log transfers from central store to the service bar.
Daily Shift Reconciliations
Reconcile cashier shift collections against total billed items to prevent revenue leakage and unrecorded sales.
Supplier & Vendor Payables
Manage accounts payable for fresh food suppliers, beverage distributors, and utility providers.
How Your Team Operates on Lunar
From front-desk cashier counter sales to back-office accounting, here is how the daily workflow connects.
Order Entry & Billing
Issue guest bills and receipts with itemized food and beverage line items.
Bar Stock Movements
Track bottle and crate issuances between main store and active service points.
Daily Cash Settlement
Reconcile shift totals with bank/cash accounts in the Payment Entry ledger.
Ready to transform your hotels & restaurants operations?
Our local implementation team configures your charts, imports your item catalog, and trains your staff.
Explore Other Industry Solutions
See how Lunar powers diverse business models across Uganda and East Africa.