Deposits against an open order
Custom orders change. Taken as a partial payment the change is a balance adjustment; taken as its own sale it is a refund and a re-charge, which is two transactions that never needed to happen.
Industries · Food and beverage
A bakery's day starts before its customers' does, and it is planned against orders that were taken days ago by someone who is now asleep. Everything downstream depends on those orders being written somewhere the oven can read.
The day, end to end
Six places a bakery's paperwork either becomes production or becomes a surprise.
Custom orders change. Taken as a partial payment the change is a balance adjustment; taken as its own sale it is a refund and a re-charge, which is two transactions that never needed to happen.
Custom orders with a pickup date and standing wholesale orders with a route day are all the sheet needs. The thing that breaks it is an order taken in a counter book that never reaches the system.
The chain has to run end to end. Every place it breaks is a place a declaration gets retyped, and retyping is where one goes missing.
Wedding season and holiday weekends fail on collection, not on baking. Slots are how a Saturday morning becomes staffed instead of survived.
A cafe account with a standing Tuesday order needs a note at the door and an invoice with a due date. That is a different motion from a counter sale and it deserves its own one.
An open discount records that something was reduced and nothing about why. Over a season, the reason is the only part that teaches you anything.
Buying guide
Seven questions worth asking any provider, us included.
Ask to see a deposit taken, the order changed, and the balance settled at pickup.
Ask what it looks like on the Friday before a holiday weekend.
If not, plan for the retyping or plan to close the gap.
Ask what a guest sees when a slot is full.
Wholesale is a real second business. Confirm it is supported, not improvised.
Ask for the permission model as well as the button.
Recipes, allergen data and wholesale accounts. Ask up front.
Questions
As a partial payment against an open order, not as a separate sale. The order stays open with a balance, changes adjust the balance, and the final payment settles it at pickup. Taking the deposit as its own completed sale is what makes a later change into a refund and a re-charge, which is two card transactions where there should be none.
Yes, where custom orders carry a pickup date and standing wholesale orders carry a delivery day. The sheet is then a query over both, scaled to pan or batch quantities. What breaks it is orders taken in a book at the counter that never reach the system, which is why the counter workflow matters more than the reporting.
From the recipe, through the item, onto the label printer. That chain has to exist end to end or somebody is retyping, and retyping is where an allergen goes missing. If your label printer is not driven by the same item record the register uses, that gap is the first thing to close.
They can be, and they should be on a different workflow. A wholesale account has a standing order, a route day, a delivery note and an invoice on terms. A counter guest has none of those. One system with two motions is manageable; one motion for both is not.
As a recorded reason on the item rather than an open discount at the register. The reason is what turns a markdown into information: how much bread is being marked down, on which days, from which bake. An open discount records that something was reduced and nothing about why, which is the version that teaches you nothing.
Free tools
Both are open to anybody comparing setups, including anybody comparing us with somebody else.
The questionnaire asks a bakery the questions boarding asks — deposits held against an open custom order, wholesale accounts invoiced on terms, a counter and a delivery route on the same merchant account. You end up with the answer sheet whether or not you ever call.
The statement audit reads a statement you already have and separates the counter tickets from the wholesale invoices sitting inside the same total. A bakery running both usually finds the second one priced as if it were the first.
Talk to someone who has run a production board
Four fields. A person reads it, looks at what you are running now, and comes back with what they would actually change.
We will implement whatever is right for you — including keeping what you have. If the counter book is the only gap between your orders and your oven, closing that one gap is the whole project, and we will scope it that way.
Payco · Industries · Food and beverage · Bakery
Last updated: 2026-08-17