What the workspace holds
Daily sales entries, expenses and period summaries for the venue, kept separate from other departments.
Daily sales, expenses and period summaries usually get rebuilt in a spreadsheet after everyone has gone home. NexTable keeps them per venue, with the source attached.

Owners and finance leads who need a consistent basis across venues without erasing venue ownership of the numbers.
Daily sales entries, expenses and period summaries for the venue, kept separate from other departments.
Sales and expenses are captured per venue, with the date and the person who entered them.
A group view is a roll-up of venue records, never a replacement for them.
Unusual movements and reconciliation gaps belong above decorative charts.
Sales and expense records persist per venue. No bank account is connected, so nothing is reconciled against a statement automatically.
StatusDaily sales and expenses persist; no bank is connected.
NexTable prepares the operating view. Your accounting system remains the ledger of record, and bank feeds are not connected.
Every service shares the same account, venues and permissions. Open any of them and the context comes along.
We will look at source, venue and review state before talking about charts.