Franchise Bookkeeping — Designed for Multi-Location Precision
"Latch gave our business consistent financials across every location. "










Standardized financials across every franchise location
Every location follows the same framework for revenue recognition, COGS treatment, job costing (if applicable), and expense classification. Clean, standardized books → cleaner insights across your network.
We maintain structured financial files for every franchise unit, giving franchisors accurate, audit-ready data—and franchisees the clarity needed to operate confidently.
Receive consistent monthly reporting packages across all locations, built with identical formats, KPIs, margin structure, and performance categories. Track trends, outliers, and benchmarks with ease.
Each unit receives timely monthly reporting, while franchisors gain summarized roll-up visibility. Communication stays structured, simple, and aligned with franchise reporting cycles.
What our clients say
Standardized accrual-basis bookkeeping across all franchise locations
Unified chart of accounts for consistent reporting system-wide
Monthly financial reporting for each location + optional roll-up reporting
Document collection & organization for each franchise unit
Accurate year-end packages for each location’s CPA
Clear guidelines for franchisee onboarding & financial processes

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