Order speed
Compare QR/staff order capture to KOT/KDS acknowledgement and bill generation timing.
Evidence required
Orders, KOT/KDS, payment, day-close, and reporting proof from at least three operating days.
Customer proof stories
Zesty case studies are built around before/after operating signals for order speed, wastage, repeat customers, and cash mismatch. The page is a transparent way to understand what evidence a real customer story should include.
Do not publish customer names, quotes, screenshots, or outcomes until the pilot customer has reviewed the evidence and approved the story.
Approved story checklist
Pilot evidence
Review at least three operating days of order, billing, stock, and reporting evidence before publishing.
Customer approval
Capture permission for the quote, story, screenshots, customer name, and approved publishing channels.
Privacy review
Redact personal data, remove unsupported claims, and keep metrics tied to approved evidence.
Before/after metrics
The public page intentionally names the metric areas without showing numbers. Real numbers belong only in approved, evidence-backed customer stories.
Compare QR/staff order capture to KOT/KDS acknowledgement and bill generation timing.
Evidence required
Orders, KOT/KDS, payment, day-close, and reporting proof from at least three operating days.
Compare spoilage logs, stock count variance, and low-stock pressure before and after Zesty inventory use.
Evidence required
Inventory movement, stock count, spoilage, and reorder evidence reviewed by the restaurant.
Compare repeat visit, loyalty, campaign, and feedback signals without exposing personal customer data.
Evidence required
Customer growth report with consent-safe aggregation and approved quote or story summary.
Compare shift close, refunds, payment reconciliation, manual UPI, and cash variance notes.
Evidence required
Payment reconciliation, shift close, refund, and manual-review evidence with no unresolved blocker rows.
Turn validated pilot evidence into a publishable story.
Bring order, billing, stock, customer, and shift-close evidence together before publishing any restaurant outcome claims.