Bank Reconciliation and Cash Position for Hotels
Run hotel bank reconciliation line by line from imported statements, manage the till float and petty cash, and see your cash position on one screen.
You know what cash you have and what is leaving. Earlier, every tender ended up in a single ledger named "Bank account" that matched no actual bank. Most hotels hold two or three: one for collections, one for paying suppliers, and petty cash with the housekeeper.
Accounts
- Every bank account is its own ledger, with the IFSC, account number and signatories.
- Each cashier shift gets its own till float.
- Petty cash is a separate book with a named custodian.
Matching the statement
Import the bank statement and it is matched to your books line by line. Lines pair up on their own when references match, or when both amount and date match; the rest you match by hand. The BRS follows the auditor's format: book balance, plus items the bank has not yet seen, less items your books have not seen, equals the bank balance.
Your cash on one screen
- Balance in every bank
- Going out this week: the payment run, TDS challan and GST due
- Coming in: receivables due, gateway payouts and OTA settlements
- Whether you can meet the seventh
What used to take seven screens and a calculator is now a single view.
